Translations:Revaluation of foreign trade debtors/creditors/4/en

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Per date Enter per which date the revaluation shall be done
Test print: If Yes, there are two options:

Yes, with regard to earlier currency corrections the same day. Yes, without regard to earlier currency corrections the same day If No, the system makes a sharp revaluation. An accounting order is created, with a reversal in the next period. If you select period as above, it will be a voucher with date 301119 and a reversal 011219.

Voucher sequence: It is possible to have an own voucher sequence for revaluations. Create new in System: Base registers /GL/Voucher sequences.
Currency set: Shows the currency rate for the valuation. Create currency set in System: Base registers/General/Currency sets.
Closing account: Select account for booking the spread.
Closing acc intercompany: Select account for spreads for intercompany clients and suppliers.