We use Dyamics NAV, and we received amount in our bank account which we receipted in a specific liability GL account (a type of suspense account). Now we have identified that this amount relates to two areas- one is Debtor invoice and another one is Infringement notice. How can I allocate this amount to these invoices and notices.
To allocate this amount to Customers Invoice, it should be posted as Payment from the Customer, to whom You issued the invoice. If it was posted directly to G/L account, You should reverse it and post it as Payment. Then a payment can be applied to several invoices for this Customer.