When we run the Reclassification JEs for ARM, we n...
# general
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When we run the Reclassification JEs for ARM, we noticed that NS uses the exchange rate on the first day of the next period in the Unbilled Receivable Adjustment (and not the rate at the end of the period itself). Is this NS standard behavior? And for the succeeding periods, NS still uses the first exchange rate used regardless of the period-end exchange rates?