In consolidation rule, how to Translate to currencies other than application default currency when p
In consolidation rule, how to translate amounts to currencies other than application default currency when perform Consolidation All in Process Control?
For example, the Base Currency of top Parent Entity is CNY. When I run Consolidate All for the Parent Entity, CNY amount values for entities in all levels are calculated, but the values in other currencies such as USD, GBP and HKD etc are empty.
What I have to do is to highlight the Data Grid with various Entities and Currencies displayed, and select Translate/Force Translate to get the other currencies values in Entities of all levels.
Any idea for doing the Translate to other currencies and Consolidation in one click action?