跳至内容
菜单
此问题已终结

I have a company with 22 Bank accounts in Different Currencies. How do I  Post opening balances in such a way that the balances are shown in the respective currencies of the account but the journal totals are accrued in the home currency? In this case the two currencies are ZWL and USD    

形象
丢弃
相关帖文 回复 查看 活动
1
7月 17
5519
2
3月 23
9679
1
5月 18
6250
1
4月 16
6569
0
3月 15
3503