#45371 - 04/20/15 10:24 AM
Reconcile with Multicurrency
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Adagio Maestro
Registered: 02/22/08
Posts: 1247
Loc: Ontario, Canada
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We had multicurrency installed a week ago and I need help to come up with a new method of reconciling ledger with the subledgers.
1. There is a problem in AP in that the home values do not calculate correctly for CAD or USD payables. I can reconcile my 2010 CAD and 2011 USD payables using the Source currency, but Home currency does not match. 2. The 2015 Receipt Credit account contains both CAD and USD currencies within the one account. I am able to successfully reconcile 2015 Receipt Credit account with PO outstanding receipts using Home Currency. However, when I "Revalue Accounts" in Ledger, I am concerned that I will no longer be able to reconcile the Receipt Credit account unless I can also "Revalue" the outstanding receipts in PO. Is there a way to "Revalue" in PO?
Softrak, can you help?
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Susan Tennier TDL Canada Trenton, Ontario
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#45387 - 04/21/15 09:36 AM
Re: Reconcile with Multicurrency
[Re: Douglas Dickie]
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Adagio Maestro
Registered: 02/22/08
Posts: 1247
Loc: Ontario, Canada
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Hi Doug,
Sorry, 2010 and 2011 are my account numbers for AP CAD and AP USD. 2015 is my account number for IR Receipt Credit. These are not years. Just ledger account numbers.
My adagio consultant is out of the office for a couple of weeks.
You say that you rely on The PO Outstanding Receipt report source currency amounts and then revalue the GL only? So, if you revalue the GL at 1.25 then I suppose I can just manually calculate the 1.25 to the PO source amounts to reconcile?
In AP, if I revalue in Ledger, I think it will be okay and I will continue reconciling using the source amounts.
At month end I'll make a back up and test this out. I need to reconcile my subledgers to ledger somehow so that I can verify that ledger is reporting the correct amounts.
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Susan Tennier TDL Canada Trenton, Ontario
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#45483 - 04/27/15 08:05 AM
Re: Reconcile with Multicurrency
[Re: SusanTennier]
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Adagio Maestro
Registered: 02/22/08
Posts: 1247
Loc: Ontario, Canada
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Softrak, do you have a response to this? I am assuming your software provides a method to reconcile subledgers AP and IR with Multicurrency installed?
1. AP - As long as the source and home currency AP accounts are separated, I can reconcile using source currency. Home currency does not balance. Are you aware there is a problem here? Are you working on a fix?
2.IR - The Receipt Credit account in Ledger contains both CAD and USD currencies within the one account. I am able to successfully reconcile Receipt Credit account with PO outstanding receipts using Home Currency, however, will this still balance when I "Revalue Accounts" in Ledger? If not, is there a workaround that you suggest? I would appreciate a response from Softrak.
Thank-you!
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Susan Tennier TDL Canada Trenton, Ontario
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#45497 - 04/27/15 07:01 PM
Re: Reconcile with Multicurrency
[Re: Softrak Support]
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Adagio Maestro
Registered: 02/22/08
Posts: 1247
Loc: Ontario, Canada
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Are you saying that when I revalue in Ledger that it will also revalue the subledgers? Otherwise what you're saying does not make sense to me.
For example, if I post receipts in PO at 1.25% and then at month end I revalue Ledger at 1.21, then I am assuming accounts in Ledger will revalue at 1.21. So, how is that you are saying that the home currencies will match after the revaluation in Ledger? Won't the Outstanding Receipt list in PO still report home currency at 1.25?
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Susan Tennier TDL Canada Trenton, Ontario
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#45509 - 04/28/15 10:24 AM
Re: Reconcile with Multicurrency
[Re: SusanTennier]
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Adagio Master
Registered: 03/16/99
Posts: 10504
Loc: Canada
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Hi Susan,
Tech Support was saying that, when you are using a subledger module (like Payables), you should do your revaluation in the subledger, rather than in the general ledger.
If you revalue Payables and post the resulting transactions in Ledger, your Payables control accounts should tie to your Open Payables report.
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Andrew Bates
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