Go to General Ledger module on the home ribbon
- Select New Transaction from the ribbon
- Enter Date (Note: The date entered is often the same as the original transaction when attempting to fix a system generated or manual entry)
- Select Add Line from the ribbon and enter Account, Detail, Description and either Debit or Credit
- Select Add Line from the ribbon again to enter the offsetting entry as either a Debit or Credit
- Click Post on the ribbon to complete the Journal Entry