Add mapping for a foreign currency exchange
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From the Transaction Mappings for the Development Office page, select the Currency tab.
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Under the Realized gains and losses grid, select Add. The Define mapping screen appears.
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Under Debit/Credit, select the account or account code to use when generating GL distributions. To locate an account, you can use the Account Search.
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Under Generation criteria, select the When creating arrow to access the Type screen.
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Under Type, select whether the program generates GL distributions to the account for a gain or loss.
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Select OK. You return to the Define mapping screen.
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To save the new mapping and return to the Currency tab, select Save.