## Documentation Index Access the complete documentation index at: https://www.zoho.com/books/kb/llms.txt Use this file to discover all available documentation pages before proceeding. [Back](./) # How do I create credits for customers and vendors using manual journals? You can pass a journal entry for your customers and vendors. In Zoho Books, customers and vendors are managed as contacts. All transactions related to them are handled within the **Sales** and **Purchases** modules. Therefore, it is not necessary to create journal entries to record receivables and payables. Instead, you can create customer credits and vendor credits using manual journals. To create credits for [customers](https://www.zoho.com/books/help/credit-note/) and [vendors](https://www.zoho.com/books/help/vendor-credits/) using manual journals: * Go to the **Manual Journals** module under **Accountant** on the left sidebar. * Click **+** **New Journal** button on the top right side of the page. ![New Journal](/books/kb/images/accountant/new-journal.png) * Select the **Date** and enter **Notes**. * Leave the _Cash based journal_ option under **Journal Type** unselected as you will not be able to create customer credits and vendor credits from a cash based journal. * Select the currency in which you want to create this manual journal. ![Select Currency](/books/kb/images/accountant/select-currency.png) The accounts you have to choose to [create a customer credit](/books/kb/accountant/credits-manual-journals.html#create-customer-credits) differs from the accounts you have to choose to [create a vendor credit](/books/kb/accountant/credits-manual-journals.html#create-vendor-credits). ## Create Customer Credits * Select the account as **Accounts Receivable**. * Select the customer for whom you want to create a credit from the contact dropdown and enter the amount that has to be credited in the **Credit** column. * Select the account which needs to be debited in the next line and enter the debit amount. * Click **Save and Publish** to publish this journal. ![Accounts Receivable](/books/kb/images/accountant/accounts-recievable.png) The credits can be applied to the invoices of the customer you’ve selected by clicking the **Apply** button next to Customer Credits above the journal which you’ve created. ![Customer Credits](/books/kb/images/accountant/customer-credits.png) * * * ## Create Vendor Credits * Select the account as **Accounts Payable**. * Select the vendor for whom you want to create a credit from the contact dropdown and enter the amount in the Debit column. This amount will be the vendor credit. * Select the account which needs to be credited in the next line and enter the credit amount. * Click **Save and Publish** to publish the journal. ![Accounts Payable](/books/kb/images/accountant/accounts-payable.png) The credits can be applied to the bills of the vendor you’ve selected by clicking the **Apply** button next to Vendor Credits above the journal you’ve created. ![Vendor Credits](/books/kb/images/accountant/vendor-credits.png) You can create credits for multiple customers and vendors in the same journal by repeating the steps mentioned above. **Note:** You’ll not be able to create credits if Accounts Receivable or Accounts Payable is associated with bank/cash/card accounts. Also, you can apply customer credits to the invoices of the respective customer directly from the **Invoices** module and vendor credits to the bills of the respective vendor directly from the **Bills** module. ![Invoices Credits](/books/kb/images/accountant/invoices-credits.png) ![Bills Credits](/books/kb/images/accountant/bills-credits.png) **Note:** You can apply these credits only to an invoice or a bill. You cannot use them to make payments directly. Credits recorded via advances, credit notes, or vendor credits cannot be applied to journals created for tracking receivables and payables.