Skip to Content
0
Jan 09, 2008 at 05:49 AM

F-03 GL Clearing

29 Views

Hello,

while doing F-03 in foreign currency system is posting exchange difference amount in Valuation account and Balance sheet adjustment account.(OB09)

However since it is a final settlement it shoul go into Realized exchange gain account only.

Kindly look into the issue

SONIYA