R12 Can use the other date instead of DPIS to conversion to Secondary Ledger for Oracle Assets?
The secondary Ledger(USD)uses a different Currency from Primary GL Ledger(THB). In Assets, a tax book is linked to the Primary ledger and has the Secondary Ledger assigned as an Alternate Ledger in the Asset Book Ledger tab.
Accounting Transaction, The system uses the date in service (01-MAR-2022)to find the daily exchange rate for Secondary Ledger conversion.
How can we change the date that the system uses from the date in service to the date we specify on the DFF(11-MAR-2022) on the Oracle Asset screen?
Please can an expert in this area advise?