Last December I hired a venue. Before the event, I had made two prepayments. The sum of the prepayments ended up being £300 more than the actual bill. The hotel sent a check for the difference in Jan 2010.
I have spent two days trying to figure out how to account for this in MOA 2009.
My problem: I cannot apply the full prepayment to paying the bill, because it is more than the actual bill. So the hotel's account is in -300. How do I account for the fact that they sent me a cheque for that 300?
I tried to raise a supplier credit note, but I can only apply that to an outstanding bill with the hotel, with I don't have.
Don't know MOA but is there not an option to apply a refund?
Alternatively can you not raise an invoice to the customer for the £300 and post it to a suspense account. Then post the cheque you paid the customer to the suspense account. That will clear the customer account and reconcile the bank.
-- Edited by semsley on Wednesday 6th of October 2010 04:09:02 PM
The views expressed in this post are my own personal (HRA protected) views, and are not representative of any organisation I have any involvement with.
Press Ctrl+J, this opens the journal window for a new journal entry.
Put in the date and from the type drop down menu choose supplier. From the Account drop box choose the suppliers name. Then a memo and the amount in the credit column.
On the next row the same date and bank from type. The bank account from account drop box and the memo field. Then the amount in the debit column.
The views expressed in this post are my own personal (HRA protected) views, and are not representative of any organisation I have any involvement with.
You are saving my sanity. Now the only sticking points are that it is complaining about the voucher number at the very front and how do I treat VAT at the end of the line?
The views expressed in this post are my own personal (HRA protected) views, and are not representative of any organisation I have any involvement with.
If you have paid too much to the hotel, you have also charged too much to an expense a/c. The £300 refund should be credited to reduce the expense a/c. Instead, you have credited Creditor (and/or Creditors Control). Why not just journal a debit to Cr/CC and cr the expense? Or raise a cr note to Creditor applying cr to expense?
I don't think the cr should go to bank, what will you reconcile it to?
Am I missing something - am all studied out so could be
Phil
-- Edited by PhilMcTankup on Wednesday 6th of October 2010 05:33:45 PM
The views expressed in this post are my own personal (HRA protected) views, and are not representative of any organisation I have any involvement with.
I'm savvy with principles of basic double entry, just not happy that I understand what has gone on here. Creditor a/c's don't have permanent balances. Costs should be charged to an expense a/c, maybe that's what Andras meant by Hotel a/c in his original post. If December posts were before his year end then if he applies £300 chq to cr expense now, then it will have a Cr bal but that's ok.
As I understand it. The cheque was a prepayment that was overpaid to a creditor. It was never applied to an expense. The creditor has returned the amount which was overpaid.
I don't see, in this instance, why you would do anything with an expense account.
The views expressed in this post are my own personal (HRA protected) views, and are not representative of any organisation I have any involvement with.