Discrepancy in Partial Retirement Amounts with Multicurrency Proceeds in PeopleSoft Asset Management
We are observing unexpected discrepancies in the base currency amount values during partial retirement of assets that involve multiple transactions with proceeds in different currencies. The variation seems to arise due to fluctuating exchange rates and the calculation of gain/loss for each transaction. We’d like confirmation on whether this behavior is consistent with delivered functionality or if there are configuration considerations we’ve overlooked.