> On Aug 5, 2020, at 8:14 AM, Adrien Monteleone 
> <adrien.montele...@lusfiber.net> wrote:
> 
> That may not be correct. If you right-click the transaction, do you see 'Edit 
> payment' or do you see 'Assign as payment' in the menu?

I did see ‘Edit payment.’ When I tried that, Gnucash did not change the payment 
amount as shown in the General Journal, but rather it created a new line for 
the difference with account “Imbalance-USD.” I could change that to match the 
other lines representing invoices to which I had applied part of the payment, 
but the customer report for that customer did not reflect the adjustment.

I’ve gone back and tried it again using the backup of the data file, and I now 
see that if I changed the account for the new “Imbalance” line to the checking 
account (where the original check was deposited) then things do seem to turn 
out correctly, including the customer report for the relevant customer. And 
that seems to make sense to me now that I think about it.

> 
> If you check the relevant Vendor Report, do you see the payment listed 
> appropriately? If you choose Options > Display Columns > Links > 'Detailed' 
> you'll see additional columns showing how the payment was applied to which 
> invoice(s).
> 
> While you can put anything you want in "Num" that may not have been what you 
> wanted. If you had a check number or transaction number you wanted to use, 
> that should go there. 'Payment' is placed in the Action field (same column as 
> "Num") and is visible if you show the full transaction.

Yes, the Num value for the main line in the GJ is indeed the check number for 
the payment. I now see that when I click in a detail/subline the column 
headings change! Not super-intuitive but I get it and now I know to look for 
that.

Thanks for the help.

- Tim

> 
> Regards,
> Adrien
> 
> On 8/4/20 9:15 AM, Tim Quinn wrote:
>>> On Aug 3, 2020, at 11:05 PM, Adrien Monteleone 
>>> <adrien.montele...@lusfiber.net> wrote:
>>> 
>>> Not really sure what you mean by 'in place' but I think you can edit the 
>>> original payment transaction amount (since it is in excess of what was 
>>> applied later) and all *might* flow correctly afterwards. You'll have to 
>>> try it to find out.
>> Thanks very much for the suggestion. From the General Journal I changed the 
>> amount directly.
>> That created a new line with the account “Imbalance-USD” for the correct 
>> remaining amount. I was able to change the account to Assets:Accounts 
>> Receivable (which is what the entries for other customers with prepaid 
>> balances look like).
>> I also edited the “Num” column entry for the new line to be “Payment” which 
>> is displayed for the prepayment balances for other customers.
>> Does that sound about right?
> 
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