I have set different exchange rates at 31 Dec 2016 to 31 Dec 2022, but don’t know for what reasons, the bank balances remain the same as the exchange rate set on bank starting balance when create the bank balance. Can it be resolved? Thank you.
Have you Create currency-revaluations?
or check this setting, if you want to use automatic calculations
The setting of automatic calculations works. Thank you so much.
May I enquire how to create currency-revaluations?