Currency information, Import currency rates
Local currency information for printing forms is specified in General Ledger Setup.
Used fields on the General tab:
- LCY Code
- Local currency description
Import currencies
Go to Company information. Fill fields:
Field | Description |
---|---|
Import Curr. Exch. Rates | Specifies if it is possible to run the Import Currency Exch. Rate batch job. |
Import Conflict Resolution | Specifies what will happen if a user runs the Import Currency Exch. rate batch job and there are conflicting exchange rates. |
Go to Currency. Оn the General tab fill fields for each currency:
Field | Description |
---|---|
Import | Specifies if the currency has an imported exchange rate. |
Ru Bank Code | Specifies the Russian bank code associated with the currency. |
Ru Bank Digital Code | Specifies the Russian bank digital code associated with the currency. |
Import currency rates:
Go to Departments -> Financial management -> Periodic activities -> Currency -> Import currency rates.
Enter the start and end dates of the period for which you want to adjust the exchange rates.
See Also
Adjust Exchange Rates
Russia Local Functionality
Note
Can you tell us about your documentation language preferences? Take a short survey.
The survey will take about seven minutes. No personal data is collected (privacy statement).