Editing a Transaction
How to edit an existing transaction, including linked entities, automatic fee handling, and recurring occurrence warnings.
Open the transaction first, then choose Edit. The edit popup brings back the same tabbed structure as creation, centred on Basic Information and Financial Information, with a read-only Recurring Schedule tab when the entry belongs to a scheduled transaction. This time you are changing a ledger line that may already be tied into balances, reports, customer history, or recurring processing.
Changes That Matter Most
- Transaction Type: Changing the type changes how the entry is interpreted in summaries and reports. Only do this when the original entry was genuinely the wrong kind of transaction.
- Customer, Job, and Invoice: These links can be corrected, but changing the customer clears job and invoice links where they no longer match.
- Payment Method: Updating the payment method changes the fee calculation basis for payment entries.
- Amount and VAT fields: VAT and Net Amount are recalculated from the current amount and VAT rate, so those three fields should be checked together before saving.
- Payment Reference: This is often the easiest field to correct later when the money was right but the traceable reference was missing or wrong.
Recurring Occurrences
If the transaction belongs to a scheduled transaction, the Recurring Schedule section appears as a reference only. It tells you the current schedule and gives you a View button, but future recurring transactions are still managed from Scheduled Transactions rather than from here.
When Editing Is Blocked
Transactions linked to transferred customers or transferred jobs are protected. When that happens, Work Planner shows a warning and blocks editing so the financial history cannot be changed on a record that has already moved business context.
After Save
- The same ledger line is updated: Work Planner edits the existing record rather than creating a new one.
- Search results refresh: Any description, reference, or linked-entity changes feed straight back into the Transactions list and detail view.
- Recurring pattern stays where it belongs: Editing this occurrence does not rewrite the future schedule.
Related articles
- Creating a Transaction: Useful when you want to compare the original field setup with later edits.
- Transaction Detail View: Shows the information worth checking before you edit.
- Payment Reference and Status Handling: Helpful when the confusion is around the wording on the record rather than the amount itself.