My finance team want the currency revaluation to b...
# accounting
s
My finance team want the currency revaluation to be booked based on the line level classifications, so if a bill has lines attributed to different departments/classes they want the month end revaluation to record based on that rather than everything going to a single department/class stored at the header. Currently they book journals after the Currency Revaluation process is run to split it between the different segments and would like to not have to do that.