Costpoint Help

Paying a Multicurrency Invoice

This topic describes the steps to create and pay the first multicurrency accounts payable voucher in Costpoint.


PMI Currencies for Accounts Payable

Costpoint recognizes the following three currency types for recording accounts payable transactions:

PMI Before You Start

Before you start the payment procedure, determine the currency you will use to pay the invoice. For this example, we assume the following:

PMI Step 1

Use the Manage Currencies screen to select the currencies that will be used in Costpoint.

PMI Step 2

Use the Manage Currency Status screen to activate this currency.

PMI Step 3

Use the Manage Exchange Rate Sources screen to specify sources for your exchange rates.

PMI Step 4

On the Manage Exchange Rate Groups screen, create a rate group.

PMI Step 5

If this is your first accounts payable transaction, review the settings in the Configure Multicurrency Settings screen.

PMI Step 6

On the Manage Multicurrency Accounts screen. follow your company's procedures to assign the gain and loss accounts and organizations.

PMI Step 7

Enter the exchange rates for the currencies of your accounts payable transaction. You can maintain currency on a regular schedule (possibly daily or weekly) or enter currency rates on an as-needed basis.

PMI Step 8

Enter your voucher as usual in the Manage Accounts Payable Vouchers screen.

PMI Step 9

Run the Update Open Accounts Payable Exchange Rates process.

PMI Step 10

Pay your voucher as usual, printing the check against your yen bank account.


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Related Topics for Manage Currencies