Hi all,

If you can please review this feature request and vote for it if you find it 
relevant:

 

http://feedback.openerp.com/forums/87921-accounting/suggestions/1395229-account-bank-statement-for-foreign-curency-banks?ref=title

 

Currently the statement reconciliation (Accounting>Periodical 
Processing>Statements> Statements Reconciliation) does ignore the foreign 
currency bank balances for foreign banks and does all the computations in the 
base company currency instead.

 

Example:

base currency - EUR

Bank and bank journal currency - GBP

 

The bank reconciliation screen for this bank journal should present the entries 
and totals in GBP, not in EUR. EUR could be presented optionally for if you 
like to implement the additional feature of the monthly bank revaluation, yet 
this operation is normally done via a different module/screen.

 

This is the correct logic of all the other accounting systems that I came 
across to date. More info here - 
https://bugs.launchpad.net/openobject-addons/+bug/699815 

 

Regards,

 

Vadim Chobanu

SmartMode LTD

M: +44 7939 23 0959

 

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