Another staff member has created a stock item and has used the incorrect account for the "I buy this item" instead of allocationg "5-2700 Purchases" has accidently allocated "5-2500 Opening stock" i have corrected against the item however on the P & L it is still showing the items as "opening stock" value and has not reallocted them to the "purchases" value
How can i correct this on the P & L