Revalue customer accounts (CM505000)

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You use this window to revalue Kundreskontra accounts maintained in a foreign currency.
Select a foreign currency to display all customer accounts maintained in this currency, and then select the accounts and provide a description for the Kundreskontra revaluation.

You can revalue the Kundreskontra accounts at the end of each period as often as needed to accurately reflect your cash position.

The accounts used for the gain/loss and Kundreskontra accounts are set for each currency in the Currencies (CM202000) window.