What if I had to pay the Vehicle with a bank check. Check made out to the Bank paid the dealer. When I made the check to the bank I booked the asset to Vechicles. How do I set up the note?
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What if I had to pay the Vehicle with a bank check. Check made out to the Bank paid the dealer. When I made the check to the bank I booked the asset to Vechicles. How do I set up the note?
When you write the check your journal entry should be a Debit to Vehicles and a Credit to Cash for the amount paid for the vehicle.
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