Go back to
MB7-515 - Microsoft Dynamics NAV 5.0 Financials
The Adjust Exchange Rates batch job posts the exchange adjustments related to customer and vendor ledger entries to which G/L accounts?
Realized Gains and Realized Losses
Unrealized Gains and Unrealized Losses
Residual Gains and Residual Losses
Realized G/L Gains and Realized G/L Losses
Want to practice for MB7-515 - Microsoft Dynamics NAV 5.0 Financials ?