We'd love to hear from you! Provide  feedback  to earn a badge today. Take our quick survey

Discussions

Check out Oracle NetSuite upcoming events and conferences here
Now is the time to ask your NetSuite-savvy friends and colleagues to join the NetSuite Support Community! Refer now!
We’re ringing the bell so you know what that means… LAST CALL! This is your last week to register for #SuiteWorld at our early bird special rate and save $300. Join us for our biggest event of the year and learn more about how your business can get the most out of our system. https://lnkd.in/enaAr8p8
Release 2022.2 is Coming! – Get Ready with your Release Preview Account
Expand your NetSuite knowledge by joining our Ask A Guru Live sessions. RSVP on this event now.

Trial Balance by currency for the bank accounts.

We want a report that shows the bank accounts along with the foreign currency balances as of a trial balance

We have been using the trial balance, where account type = bank and we have added the foreign (amount) column

Now the accuracy of this report is great when you do NOT do bank transfers. The moment you use bank transfers, the account appears twice in this report, and has the source currency as well. For example

This bank account, 3480 has two lines. It is a CAD account but we did a bank transfer in USD

So if i add the two lines, i know we have 1.224M CAD but my foreign column is useless as a result of US$ using the bank transfer

Howdy, Stranger!

Log In

To view full details, sign in.

Register

Don't have an account? Click here to get started!

Leaderboard

This Week's Leaders

This Month's Leaders

All Time Leaders