Part of the problem here is that I do not remember why I did exactly what I did. Looking back, I'm fairly certain it was not a correct method.
When processing payroll, a liability account for the pastor's cell phone was debited and credited for the same amount. This was fine and resulted in a zero balance. When setting up the youth pastor at a later date, I neglected to make the credit entry and therefore, debited the liability account only resulting in a negative balance. How do I get rid of the negative balance? I know that I have seen information about using the Fund Balance (3001) in correcting an entry before, but not sure when this is appropriate. Also, it brings up the second major issue I am having. What does the Fund Balance (on the balance sheet) reflect? Mine seems to me that it is totally out of whack!
I am using version 11.1 on Windows 8. I have been using PowerChurch for a lot of years and felt that I knew what I was doing, however, not feeling that way so much now. Please help.
