You use this form, which holds the settings of the currency management functionality, to define the numbering sequences for currency management and the default rate types to be used for AR, AP, projects, and cash transactions.
The form toolbar has only standard buttons.
In this section, you define the numbering sequences for the currency management functionality and specify the subaccount mask to be used for composing subaccounts.
In this section, you define the posting setting for batches that have originated in the currency management subledger.
In this section, you specify the settings related to rate variance and the default translation definition (if applicable).
In this section, you define the default rate types that are used for operations in different functional areas of the system. In the boxes of this section, you can select a currency rate type from the list of rate types defined in the system on the Currency Rate Types (CM201000) form.
In this section, you specify the settings related to the availability of customer and vendor prepayment accounts on the Revalue AR Accounts (CM505000) and Revalue AP Accounts (CM504000) forms, respectively.