Hi all. I had one of those days today when nothing you do seems to go right. To top it up at the last 20 min before the end of working day I decided to quickly record bank transfers between current and deposit accounts. With a colleague chatting and me in a hurry (I know I am trying very hard here looking for excuses) I had done the opposite to what I was suppose to do. I tried to correct/delete entry from maintenance/corrections but the entry was made direct into journal. What would be the best turn of action?To do a contra transfer to nill wrong entry or correct by reversing journals?
Just to clarify I ended up with JC current account, JD deposit account, where I should've had JD current account and JC deposit account.
I would do the opposite of what you did to correct then post what you originally intended. Or if you wanted you could just post double the amount the correct way.