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 > Close.
  2. On the Reporting Basis panel, select 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 Report Catalog > Reports > Finance Transactions.
  3. Select My Reports > Totals to view the new currency totals.
  4. Select My Reports > Reporting Basis > Basis Gain Loss to view currency account transactions by reporting basis.