- Create a holding account.
- Write a check.
- Enter a vendor credit.
To create a holding account:
- Navigate to Setup > Accounting > Manage G/L > Chart of Accounts > New ( Administrator ) .
- In the Type field, select Other Current Asset.
- If you use account numbers, enter a number in the Number field.
- In the Name field, enter Temporary Holding.
- Click Save.
To write a check:
- Navigate to Transactions > Bank > Write Checks ( Administrator ) .
- In the Payee field, select your vendor.
- On the Expenses subtab, in the Account column, select your Temporary Holding account.
- In the Amount column, enter the overpayment amount.
- Click Add.
- Click Save.
To enter a vendor credit
- Navigate to Transactions > Purchases/Vendors > Enter Vendor Credits ( Administrator )
- Select the Vendor.
- On the Expense subtab, select your Temporary Holding account.
- In the Amount column, enter the overpayment amount.
- Click Add.
- Click Save.