Gst Return. I processed my GST return through Ag Expert but had to make a change to line 106 when I submitted it to CRA for money owed to me from previous periods. So now the amount of my cheque and the amount in the RP CRA Gst Receivable accounts are different. The cheque be more. How do I post this entry?
Hi Karen,
Simply enter the deposit through the transaction entry screen, put in the cheque amount in the "total" box, and then when you get down to the RP line, pay off the Invoice for what AgExpert calculated. You will have to update the amounts in the "accounts receivable selection" window. You will be left with a difference, and this can be offset to Equity - GST Adjustment (you will have to add a detailed account for this).