Hi all, Our org is in the process of setting a chi...
# accounting
i
Hi all, Our org is in the process of setting a child subsidiary within our NetSuite instance which is located in India. We have identified the accounts to be created for the child sub which will be available for both the parent and the child. before importing into the chart of accounts I’m trying to verify finance reporting for the currency types denominated for each entity. Does anyone here have insight?