Logic of XLA_AE_LINES currency_coversion_rate & currency_conversion_date for Secondary Ledger
Hello all,
We are using foreign currency for secondary ledger.
e.g. we create purchase order on 01-JAN-2020, and shipment level match option = Purchase Order.
Then complete corresponding receiving and deliver, found xla_ae_lines.currency_conversion_date is using purchase order creation date.
While we expect to use receiving transaction date.
How to reach this result?