Double booking when clear open item on G/L account

HI!
I use bank account 193200 as a clearing account to clear open items. I have made two postings on this account in different currencies. Now I wan't t o clear this items in f-03, and the difference of apprix 10 EUR is to be posted on an exchange rate difference account, 796201.  I have allocated this account to account 193300 in transaction OBY9 (account for echange rate difference) and I have also allocated this account in transaction OBXZ (create accounts for clearing differences)
When I try to clear my twi items on account 193200 in transaction f-03 I get a posting looking like this:
796201 Credit 10 EUR
193200  Debet 10 EUR
796201 Credit 10 EUR
796201 Debet 10 EUR
Why do I get this double posting on account 796201? It would be enough with a posting of the first two lines.
Can anyone help?
Many thanks in advance!

Hi!
Thanks for ypur reply! I checked the postings on profit centers now as you asked about it. All of the three P/L bookings (all the postings on account 796201) are on the same profit center and no bookings on profit center on account 193300.
How can I go on? What did you mean by profit center posting in balance?

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