Enter a QST Refund in Cash-Basis Accounting
            If you find that the government owes 
 you a refund:
            
            
                - If you have not 
 already done so, create a customer record for the Ministère du Revenu 
 du Québec.
                - In the 
 Home window, open Customers and click the Create toolbar button  . .
- In the Customer 
 box, type Ministère du Revenu 
 du Québec.
- Click the Taxes
 tab, set the Tax Exempt status of each tax to Yes. Then click the Save and Close button.
                - In the 
 Home window, open Sales, Orders, and Quotes, and enter the Ministère du 
 Revenu du Québec 
 as the customer.
- Enter an invoice 
 number, such as QST JUL for the July QST 
 refund, and enter the date.
- Enter the amounts 
 and account numbers for all QST accounts, as follows:
- In the Amount 
 box, enter the corrected Refundable QST Paid amount, from the QST report, 
 as a positive number. In the Account box, 
 enter the Refundable QST Paid account number.
- On the next line, 
 enter the corrected QST Charged At Rate 1 amount as 
 a negative number, and the QST Charged At Rate 1 account number.
- On the next line, 
 enter the corrected QST Charged At Rate 2 amount as 
 a negative number, and the QST Charged At Rate 2 account number.
- Similarly, enter 
 the account balances and account numbers listed on the Transactions By 
 Account report for the remaining QST accounts: the QST Adjustments account, 
 the ITR Adjustments account, and the QST Payroll Deductions account (if 
 you have one).
The invoice total should equal your refund amount, 
 as calculated on the QST Return.
            
                - To check the entry, 
 choose Display Sales Transaction Detail from 
 the Report menu. The amount the government owes you should be shown as 
 a debit to the Bank account.
- Click Record 
 to record the entry. Note that the amounts remain in the QST accounts 
 until you record payment of the refund.
- When you receive 
 the refund cheque, open the Receipts window and create a receipt from 
 the Ministère du Revenu 
 du Québec. This removes from the accounts the QST amounts reported for 
 this QST period, in preparation for a new reporting period.
If you want to check that you have properly cleared the QST accounts:
            
                - Create a temporary 
 copy of your company files, and switch 
 to accrual-basis accounting in the temporary copy.
- Print 
 a balance sheet. If you cleared the accounts properly, the QST account 
 balances should be zero in the temporary accrual-basis copy of your company 
 files. If the balances are not zero, check the steps you took to adjust 
 the QST report and account for a refund to see where the error occurred.