@rmehta @clarkej
as u see at the uploaded image you see that there is a mistake at the ledger entry as they a credit and debit entry by the same line when its supposed to be 1 entry by the line
the first line is correct but the second line supposed to be the same value at the credit side but you see that it became 2 entry by the same line
this makes a difference at the received stock but not billed account