Thanks so much for the reply. Nonetheless, it doesn't solve my problem yet. Guess I may need to elaborate in more details so that you can understand the issue that I am facing.
The real scenario is as follows:
Company A (Holding Company) paid for staff salaries in Company B (Subsidiary) as the bank account in Company B was not set up yet. Hence, the following journal entries in Company B's books using 'Journal' template:
Dr: Salaries and wages
Cr: Amount due to Company A (Holding Company)
Now, as one of the staffs in Company B was shared by the Subsidiary and another unrelated company, Company X on a 50-50 basis. For instance, this staff earns $1k monthly. So Company B needs to recharge and bill Company X $500 every month.
If the salaries and wages is booked through the 'Expense' or 'Bill' or 'Cheque' template, I can easily tick the 'Billable' column and generate the invoice to Company X accordingly. But as the original expense was booked through the 'Journal' template, there is no such 'Billable' column to tick to recharge this expense. So, it goes back to my query: How to bill a chargeable expense which was originally accounted for using journal entry?
Hope the above details illustrate well my query. Look forward to your reply and thanks in advance again!
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