What is use multi-currency payment if enable in bank window?

Answer Posted / sudhakar

See If you entered invoice with currency by considering INR. Then we use to make a payment in INR itself in Accounts payables Module. But in R12 Multi Currency Payments is the new topic. By using this feature we can do Multi currency payments across the operating units by defining currency conversion rates and we use to enable Allow Multi currency payments option at Ledger level and also we use to change currency at supplier site level in Invoice management TAB and also in Payment TAB as well. Later we can make a payment with different currencies with the help of currency conversion rates.

Is This Answer Correct ?    2 Yes 0 No



Post New Answer       View All Answers


Please Help Members By Posting Answers For Below Questions

What are register in India localisation?

1578


What is meant RD020

478


Explain Customization process?

1498


We are running Oracle EBS 11i and yesterday whilst doing my month-end I forgot to select "calculate finance charge" on form ARXSUPST AR Print Statement run. I am struggling to get to My Oracle and was hoping someone out there might have experienced or heard of a similar problem. What are my options to rectify this situation... I look forward to you inputs..... Thank you Regards Salie

2158


We have both consumption tax and With Holding Tax on each invoice, will there be any conflict involved?

1565






what is the difference between before pages trigger and after parameter trigger in reports ?

1958


1)What cannot be consolidated in GCS? 2) When you setup calendar in GL is it possible to change it?

3404


Hi guys, any person available ap,ar material pls send me this mail.id sreenathapps09@gmail.com

1435


I have created an invoice and made the payment in Accounts payable. Now the payment status is Negotiable and accounting status is processed. I reconciled the transaction in Cash Mgmt, The status changed from negotiable to Reconciled in CM. I checked the payment status for the invoice in payment window(AP), the payment status changed to RECONCILED UNACCOUNTED i.e correct but the accounting status is remain processed which is not the correct. I hope the transaction will be correct if the accounting status would have changed to PERTIAL . Please suggest any solution for the above query.

4546


Can I do a payment of 50 bills on a post date. If yes, then how?

1318


Write Test Scripts for a telecummunication project on the basis of priority with some examples with regard to AP,GL,FA.

1734


HI, once we create the standard invoice then we can get journal entry item expense a/c-dr to liability a.c then item it will reflect through inventory, but liability a/c . it will reflect from GL , it is possible .

1412


can we define 2 different currency revaluation at a time??

1906


how we can stop the transaction for not transfer to the reporting ledger at the time of entering the transaction in pl

2010


What is the meaning holding tax?

668