跳至內容
選單
此問題已被標幟
1 回覆
3913 瀏覽次數

Getting error "You have to provide an account for the write off/exchange difference entry." when trying to reconcile bank statement in multi-currency setup. In single currency setup everything works fine. Where to dig? 

頭像
捨棄
最佳答案

In Configuration / accounting, you have to mention an exchange difference journal + Gain /loss accounts.

頭像
捨棄
相關帖文 回覆 瀏覽次數 活動
0
6月 21
2164
1
3月 15
7579
0
3月 15
3972
1
5月 25
6349
1
8月 22
2786