Specifies the currency code for the line. Use blank for local currency.
Field
Exchange Rate
Specifies the exchange rate for the line.
Field
Amount (LCY)
Specifies the amount in local currency.
Field
Reconciliation
Specifies the total amount from the reconciliation.
Field
Table Entries
Specifies the total amount from the table entries.
Field
Report Value
Specifies the value retrieved from the report. The setup, accessible via the Report Setup action on the line setup, defines the column to summarize or the field to extract.
Field
Manual Specification
Specifies the total amount from the manual specification.
Field
Remaining to Specify
Specifies the remaining amount to be specified.
Action
Open
Open the selected line to view the details.
This documentation is generated from Reconciliations for Eagle v27.0