How to: Make Corrections with General Journals

When you discover an erroneous entry, it must be corrected. Since it is not possible to change or delete a ledger entry, the only way to correct an error is to post one or more corrective entries. You can do this in a general journal. Microsoft Dynamics NAV has two functions that can help you correct erroneous entries made while posting from a journal; the reverse function, and when applying customer or vendor ledger entries; the unapply function.

To correct a ledger entry using a general journal

  1. In the Search box, enter General Journal, and then choose the related link.

  2. Fill in the first line of the journal with the corrective information. Select the Correction field.

    Note

    To use the correction functionality, use the Page Designer to add the Correction field to the General Journal window.

  3. Post the journal.

To view the results of posting

  1. Open the Chart of Accounts window.

  2. On the line with the relevant account number, select the amount in the Net Change field.

  3. Browse to the last entry on the account (or whichever entry is relevant), and on the Actions tab, choose Navigate.

  4. In the Navigate window, on the Actions tab, choose Show to view the general ledger entries.

Note

The amount in the Debit Amount or Credit Amount field for the line is negative. The Debit Amount and Credit Amount fields on the ledger entries are updated differently, depending on whether the entry is a normal or a corrective entry.

See Also

Tasks

How to: Fill In and Post General Journals and Payment Journals
How to: Reverse Journal Postings
How to: Reverse Journal Postings
How to: Unapply Applied Customer or Vendor Ledger Entries

Concepts

Correction of Incorrect Posted Documents