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Currencies Window

Specifies the codes that you set up for each currency that you use in your company accounting.

You must set up a code for each currency you use if you buy or sell in currencies other than LCY, have receivables or payables in other currencies, or record G/L transactions in both LCY and an additional reporting currency.

The window contains a line for each currency.

Tip

For more information on how to navigate in the user interface, see Work with Microsoft Dynamics NAV. For assistance in finding specific pages, see Search.

See Also

Reference

Currency

Other Resources

About Using Additional Reporting Currencies
How to: Allow for Application of Customer Ledger Entries in Different Currencies
How to: Assign Currency Codes to Vendors
Setting Up Additional Reporting Currencies
How to: Define EMU Currencies
How to: Allow for Rounding Differences when You Apply Entries in Different Currencies
How to: Set Up Rounding Rules for Foreign Currency
How to: Update Exchange Rates