These codes should always be equal and opposite & mapped to the same place on the Management accounts.
Some dealers will journal off to clear but it has to be done via a scheduling Journal.
Within Navigator in the TB setup, you can map these together so they no longer appear on your TB.
To do this go into Accounts > Nominal Ledger > Utilities tab along the top - Setup - TB setup.
Then click on the ADD button under the remapping table.
You can then change the Dept. - Type - Code from 31.60.85 in the top line and the 31.60.81 on the second line. You must make sure you remove the * from any box that you are adding a nominal code to, then click on ADD.
Make sure you click on SAVE at the bottom right hand corner this will run a nominal rebuild to remap the codes that have been changed.
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