Our GL Bank account is set it up in GBP, but transcations are coming in AUD during recouncilation ,amounts show in GBP so matching is diffuclt , what is the best way to handle this ???
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Tomiecisco
05/05/2026, 10:50 AM
Create a new account for AUD transactions so it's easier to reconcile
Tomiecisco
05/05/2026, 10:51 AM
You can also set that Bank account as a multiple currency account in netsuite