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Entity Specific Exchange Rates in FCCS

edited Dec 26, 2018 2:07PM in Financial Consolidation and Close 1 comment

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Hi Team

We are trying to configure entity specific rates(Closing and Average) in FCCS using override translation rules. This is currently working only for revenue and expense accounts. When we try to fix for balance sheet account rates , This is translating at Global Assumption Rates entered in Exchange Rate Data form. 

How to Handle this scenario in FCCS? 
Regards
 

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