Reconciliation accounts of venor and customer.

HI ALL,
Actually I have created "sundry Debtors" account as "account number "200150"
and i have posted some amount to this account. that is "RS 2070"
now i have created another account as "Sundry debtors" account as "Account Number 200111"
now i want to transfer the "RS 2070" from "200150" account to "200111" account and i want to change the "200150" account as "advance to vendors (special g/l account).
so how can i transfer that amount as a debit amount in the new account.
in customer master previously i have assigned "200150" account. and i have done only one transaction.
now i will change the reconciliation account as "200111" in the customer.
Please let me know this process.
thanks in advance.
MR.RAO

Hi MR Rao,
Yes, what Nikitha has said above is the best option.
Since you just have one posting in the customer account, it is better to reverse the document. Then, chnage the recon account in the customer master and post the transaction again.
In OBXR, assign the GL 200150 as the Special GL account for the relevant customer recon account.
Regards,
Mike

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