We have two ACH payments that the bank just returned in April…however the ACHs to the vendor occurred in January & February. BC won’t allow me to void since the bank rec has the two payments as cleared.
In order to open them back up for me to void, our bank reconciliation accountant is indicating that she has to undo all the bank recs in BC and redo them. Is this correct? Or is there another way to handle such activity?
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