Step by step: | When performing the monetary variation calculation, be mindful of the conversion criterion selected. In parameter number 12 - Use Criterion? you can select the default currency criterion - Currency: The criterion is used for each currency registered in the accounting currency register, in field Criterion (CTO_CRITER), which you can edit through option Financ.
- Chart of Accounts: Fields CT1->CT1_CVDXX are used for the debit account and CT1->CT1_CVCXX for the credit account, given that XX is the number of each currency
The conversion criteria are:
1 | Daily | The currency rate registered on the day of exchange variation is used | 2 | Monthly | An average is taken with the rates of the entire month | 3 | Last Day | The currency rate registered on the day before that of the exchange variation is used | 4 | Entered | The rate that the user enters in the routine itself is used (by entering 0, the reassessment is not performed for that currency). |
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