Why Forex Gain/Loss Events are generated for Misc Receipts
I have created foreign currency Misc. Receipts and Reconciled in Cash Management, there is an difference exchange between the Misc. Receipt creation and Reconciliation in cash management.
So I am expecting the difference should to exchange gain or loss and system should generate an accounting line for the difference, but it was not happen system adjusted that amount against Misc Cash.
Kindly let us know is the above scenario is right, if so why...
Thank you for your kind helping.
Regards,
Kishore