{"id":43,"date":"2022-11-21T08:19:38","date_gmt":"2022-11-21T08:19:38","guid":{"rendered":"https:\/\/islamicquotes4.000webhostapp.com\/?p=43"},"modified":"2023-11-03T09:50:20","modified_gmt":"2023-11-03T09:50:20","slug":"how-to-handle-stale-checks-from-prior-financial","status":"publish","type":"post","link":"https:\/\/islamicquotes4.000webhostapp.com\/2022\/11\/how-to-handle-stale-checks-from-prior-financial","title":{"rendered":"How to handle Stale checks from prior financial years"},"content":{"rendered":"

They can provide suggestions on how to properly handle the voided payment check, particularly with the category\/account to use when voiding an entry. The first thing you need to do is to void the old check. If you have a lot of uncleared checks or if you don\u2019t use the bank reconciliation feature in Sage 50, it could take a little while for the void window to open. At the top left you can select a different bank account if needed. That is the date that the void will be posted. In other words, that is when the old check will be reversed off of your books.<\/p>\n

Normally this happens if previously reconciled transactions are modified and the system will tag them as unreconciled, causing them to show up again for reconciliation. If the payee says the check was never received, the company should issue a replacement check for $124 and send it to the payee. The replacement check for $124 should be credited to the company’s general ledger Cash account and also debited to the same Cash account since the original check is being eliminated.<\/p>\n