Hi there!
I am trying to prepare a basis income statement for a company using the "additional reporting currency" rather than the LCY. We are recording every transaction to both the LCY and the additional reporting currency, and I can see the balances in both in the GL accounts. However, the Jet report GL function, lets me select the "balance", but that is the LCY balance. This there a way to report on the additional currency balances?
Thank you!
Pat Rounds
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