Matching different currency

Hi Guys, 

We are getting the following error during the reconciliation (Invoice currency and payment currency is different )

Appreciate your support on this guys.

Thanks!

Parents Reply
  • 0 in reply to ZUwaiz
    It is not allowed to match directly (using the matching function) entry lines in different currencies when the account is setup to be carried forward in currency. You should:
    - Either use the AP/AR payment processes (that automate the accounting schema)
    - Or book manually journal entries using intermediate accounts and match each of them. Look at what happens when processing by AP/AR payments
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