If there is an automatic withdrawal from your bank account, for example, a mortgage payment that is withdrawn every month, you can record it by creating an adjustment payable. For an adjustment, Breeze does not generate a check.
Adjustments are tracked with a separate numbering sequence and appear as Adjustments on the Bank Reconciliation screen. The numbering sequence is set up on the Bank Account screen.
To create an adjustment payable
Go to Accounting > Accounts Payable > Payables. Click the Add New button.
Complete the Payable screen as you normally would.
Select the Adjustment check box.
Click Save.
To pay an adjustment payable
If the payment has already been withdrawn from your bank account, you can process the payable immediately. Click the Pay Now button at the top of the screen.
You can also process adjustment payables in bulk on the Make Payments screen.
Payment records for adjustments display an Adjustment Number, not a check number. Adjustment numbers are a separate sequence.
Recurring Automatic Withdrawals
For automatic withdrawals that occur on a regular basis, for example, recurring automatic payments, you can create a payable template and select the Adjustment check box. With a payable template, you do not have to re-enter the data every month.

