Hi BD22
Thanks for your post. If I understand correctly you're using Prepare electronic payments and the electronic clearing account. If that's correct, you'll need to tick the reversal transactions only in the Prepare electronic payments window, click on Bank file and record the transaction. You don't need to upload the bank file as payment has already been made.
You can then process the 2nd weeks electronic payment as normal.
In the Reconcile accounts window you should have the duplicate payment and the reversal, tick both of these as they will clear each other out.
Please let me know if you need further help.
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