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When the cashbook batch is exported to get the import template, there is not column for exchange rate as compared to the customer batches which has a column for exchange rate. I expect the cashbook import template to have similar columns as the customer batches import template and work in the same line. It will help all clients who want to import transaction into the cashbook with foreign currency easier and faster.
What is the workaround for the problem today?
After importing into the cashbook batch, all the wrong exchange rate must be correctly entered on after the other. |
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