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Message #12516
[Bug 699815] Re: v6rc2 account_bank_statement for foreign curency banks
Hello Vadim
IMHO the Import invoices was designed to ease the reconciliation process at the same time you are
entering your bank statement; so you enter (or import) your bank statement as you get it on the paper
coming from your bank and then you use the import invoice wizard to make the reconciliation
You are doing this in two steps
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https://bugs.launchpad.net/bugs/699815
Title:
v6rc2 account_bank_statement for foreign curency banks
Status in OpenObject Addons Modules:
Fix Released
Bug description:
Probably this is not a bug, but something that has not been
implemented yet and I just would like to confirm either this will be
done for the v6 release or not.
Currently the statement reconciliation does ignore the foreign curency
bank balances for foreign banks and does all the computations in the
base company curency instead.
Example:
base curency - EUR
Bank and bank journal curency - GBP
The bank reconciliation screen for this bank journal should present
the entries and totals in GBP, not in EUR. EUR could be presented
optionally for if you like to implement the additional feature of the
monthly bank revaluation, yet this operation is normally done via a
different module/screen.
This is the corect logic of all the other accounting systems that I
came accross to date.
References