Redepositing a Check
- On the Bank Reconciliations form, clear the Returned Check field for the check being redeposited, and select the Bank Reconciled field.
- On the Returned Checks utility form, select the Process Returned Check Deposit check box for the appropriate bank code and click . A credit memo is created to show the check has been redeposited.
- On the Invoice Posting form, post the credit memo. Journal entries are created to book the redeposited check.