Fixed Deposit Transactions Error

Hello all,

I added a new fixed deposit product to a client, the fixed deposit product wasn’t linked to a savings account.

I noticed a double posting in the journal entries of the deposit and withdrawal of the new fixed deposit product. The cash account was credited twice while the liabilities account was credited twice.

The journal entry is correct, however, the posting should be done once not twice.

Please, how can this be corrected?