Accounts being revaluated even when balance in USD is zero
There are combinations that have zero balances in YTD- USD(entered currency) but with the same code combination have a remaining amount due to FX in local currency, e.g.
The USD line has the FX effect, the JMD line has the revaluated effect from this month FEB-21. So the program is picking the USD line even when the balance is zero.
Is there anything we can do to solve this?