on ‎2017 May 30 10:10 AM
Dears,
I have an issue regarding Forex - Spot Exchange (60A - 101) between company codes
the case is as below:
C.Code 1000 will buy 2 M USD Spot exchange with SAR and will inform the bank to deposit it directly into the USD Bank account in C.Code 2000
the bank will deduct the SAR amounts from C.Code 1000 SAR Bank account and will add the 2 M USD into C.Code 2000 USD Bank account.
After checking the system, the mirroring option will not fullfill my req as the contract needs to be done with the BANK not the C.Code business partner, i also found on behalf field for maintaining the other company code but it does not affect the Transaction posting.
I'm thinking of 2 using Account assignment Reference and adjust the G/l accounts, it should work but i want more tracking functionality.
Regards,
Ahmed Samir
Request clarification before answering.
Dears,
Kindly advise if there is a standard solution for the above case.
Thanks and Regards,
Ahmed Samir
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