Viewing gain loss journal results

Use this procedure to view the reports on amount revaluation for a reporting basis and account balance translation for reporting basis.
  1. Select Processing > Reporting Basis > Gain Loss Journal Results to view the results of the run, including the offsetting journal entries and transactions. The offsetting transactions are also displayed on Processing > My Reports > Transactions.
  2. Select My Reports > Totals to view the new currency totals.
  3. Select My Reports > Reporting Basis > Basis Gain Loss to view currency account transactions by reporting basis.