I'll show you how to record a supplier refund to your account. There are different ways to record the refund depending on how you made the payment. Follow the steps below for both payments made using a debit card and a credit card.
Here's how to record a refund for a debit card:
Go to + New, and select Supplier credit.
In the Supplier field, choose the appropriate supplier.
Enter the Payment date, Amount, GST, and Category (This is the category, product, or service you’re getting a credit for).
Hit Save and close.
Go to + New, and select Bank Deposit.
In the Add funds to this deposit section, enter the following information:
In the Received From field, select or enter the desired supplier.
In the Account field, select the Creditors account (Accounts Payable).
In the Amount field, enter the amount of the refund.
In the GST field, select the appropriate GST (not inclusive/exclusive of tax).
Select Save and Close.
Next, go to + New, and select Cheque.
Add the payee, choose the Supplier Credit and Deposit (from the drawer that appears on the right-hand side) and add them both.
The balance should be 0 as they will cancel each other out and select Save and close.
If you have Online Banking, go to Bookkeeping and select Transactions. Then, match the record found on the Banktransactions page.
Here's how to record a refund for a credit card:
Go to + New.
Select Credit card credit.
In the Payee field, select the appropriate supplier.
From the Bank/Credit account ▼ dropdown, select the credit card from where you received the refund.
Enter the Payment date, refund Amount, Tax, and Category.
Note: The category used here is the original expense account on the original bill.
Hi ja56, thanks for joining the thread. You may need to create a bank deposit first before creating a cheque. This way, you'll be able to link the supplier credit and the deposit.
Here's how:
1. Select + New and select Bank deposit.
2. In the Add funds to this deposit section, enter the following information:
In the Received From field, select or enter the desired supplier.
In the Account field, select the Accounts payable.
In the Amount field, enter the amount of the refund.
In the GST field, select the appropriate GST (not inclusive/exclusive of tax).
Select Save and close.
3. Next, go to + New and select Cheque. 4. Add the payee and choose the Supplier Credit and Deposit (from the drawer that appears on the right-hand side) and add them both. 5. Balance should be 0 as they will cancel each other out. 6. Select Save and close.