I need more details on G/L account definition

Hi all,
I need to  provide a precise explanation to my customer.  They want to know the difference between those 3 check boxes in the Chart of accounts :
- Reval. (currency)
- In Account details, Exchange rate differences
- In Account details, Rate conversion
What is the impact of checking those boxes ?
The help file doesn't help at all....
thanks,
Luce

Hi Luce,
I do think online help would be adequate to understand the concept.  For example:
- Reval. (currency)
>You can select this box for companies whose defined currency is not the local currency. If you select the box, you can generate a conversion differences report for the account. Selecting the box for an account allows you to produce an automatic differences reconciliation to adjust the balance of the account in the system currency to the balance in the account currency.
Is that not good enough?
Thanks,
Gordon

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