Accounts Payable Balance is Overstated

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I just started working for this company. The go live happened in December of 2020. During the data migration, some of the vendor bills that were already paid in the previous ERP ended up getting mixed in with the migrated data. So now we have a balance on the GL and Subledger that has already been accounted for in cash. Is there a way to fix the data without double booking the balance?

TIA

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