Files
acmcc/supabase/migrations
admin fdb9174c45 Accounting GL: vendor checks relieve A/P; Village Grove payments direct-to-bank
- post_transaction_gl: a vendor money-out (check) now posts Dr A/P / Cr Bank
  instead of re-debiting the coded expense account. Fixes double-counted expense
  and checks showing as P&L debits (bill already recognized the expense).
- post_payment_gl: Village Grove owner payments post straight to HOLII COGENT
  Checking instead of Undeposited Funds (scoped; others unchanged).

Both applied to the live DB; Ashley Manor's affected transactions re-posted.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>
2026-06-08 14:45:04 -04:00
..