I have a strange issue I hope one of you can help me see if this is a BUG or FEATURE
I have company with 2 currencies USD and GTQ
All Accounts – inventory, sales, COGS are in USD
When I try to create a “Stock Reconciliation” to adjust the inventory it pulls everything in GTQ and
When I try to save it is gives an error that it must be in USD.
Any advice on how to resolve this would be appreciated.