BILL MISMATCH

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I have purchased goods from a party A Ltd. and entered goods in my inventory against A Ltd. in July charging IGST but the party after some days sent the bill in the name of B Ltd. and has filed the return for July by passing me credit in name of B Ltd. How to clear the mismatch now coz I have taken input in name of A Ltd.
Replies (1)
You ll give debit note to A Ltd...


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