Differences in LC2 and LC3 even both currencies are same

Hi Experts,
I hope everyone is doing well. I have an issue with Local Currency2 and Local Currency3.
Here my issue is when I post an invoice using Transaction Code MIRO the amount in Local Currency2 (USD) and Local Currency3 (USD) is different even though both the currencies are USD. Please find the below example.
Pstg Key  Account   A/c Short Text      Amt in L Cur  L Curr         LC2 Amnt                  LC3 Amnt  
     31        234567    Venodor Account         9.137,26-    AUD       6.708,58- (USD)      6.708,58 (USD)
     86        568568     Purchase Price Var     8.306,60     AUD             0,00  (USD)      6.098,71 (USD)
     83        556321     Ex Rate Var Settle            0,00     AUD       6.098,71  (USD)           0,00  (USD)
     40        586974     VAT Asse                     830,66     AUD          609,87  (USD)        609,87 (USD)
Local Currency : AUD,   Local Currency2: USD,   Local Currency3: USD
In the above stated example there is no problem for the accounts 234567 and 586974. But for the accounts 568568 and 556321 the amounts are different. There should not be any exchange rate difference postings i.e to account 556321. I am not able to find out how it is posting to exchange rate variance settlement account (556321). Please help me what could be the reason for these differences.
Thanks and Regards,
Havina

Hi Deepak,
The settings in OB22 are as below:-
1st Local Currency:
Crcy type  10    Company code currency                        Currency   AUD
Valuation  0     Legal Valuation
ExRateType M     Standard translation at average rate
Srce curr. 1     Translation taking transaction currency as a basis
TrsDte typ 3     Translation date
2nd Local Currency:
Crcy type  30    Group currency                               Currency   USD
Valuation  1     Group Valuation
ExRateType M     Standard translation at average rate
Srce curr. 2     Translation taking first local currency as a basis
TrsDte typ 2     Posting date
3rd Local Currency:
Crcy type  30    Group currency                               Currency   USD
Valuation  0     Legal Valuation
ExRateType M     Standard translation at average rate
Srce curr. 2     Translation taking first local currency as a basis
TrsDte typ 2     Posting date
And the postings are as below:
                                        AUD (LC1)      USD(LC2)        USD(LC3)
Purchase Price Var           8.306,60             0,00             6.098,71
Ex Rate Var Settle               0,00            6.098,71             0,00
And these differences are posting only for Purchase Price Variance account and Ex Rate Var Settlement account as shown above.
Please suggest what could be the reason for this.
Regards,
Havina

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