Equity Exch. Rate Gains Acc. Field, Business Unit Table
Contains the number of the G/L account to which the program posts any exchange rate gains that result from consolidation of accounts with Equity in the Consol. Translation Method field.
If this field is empty, the account in the Exch. Rate Gains Acc. field will be used.
Tip
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Parent Tables
Table | Location |
---|---|
Business Unit Table | General Ledger |
Business Unit Table | General Ledger |
See Also
Reference
Other Resources
About Consolidations
How to: Specify Exchange Rates for Consolidations