F340: Multicurrency Accounting
Version: 2025R1
Category: Finance
How To Use This Course
This course provides a set of lessons that illustrate the multicurrency management processes in a midsize company, as well as the configuration that underlies this processing.
What Is in This Guide? The guide includes the Company Story topic, configuration activities, and process activities. Company Story explains the organizational structure of the company, which has been preconfigured in the U100 dataset, as well as the company's business processes and requirements. The primary content of the guide is configuration lessons and process lessons.
Which Training Environment You Should Use
All lessons of the course should be completed in an instance of Acumatica ERP 2025 R1 with the U100 training dataset preloaded; this dataset provides the predefined settings and entities you will need as you complete the activities of this course. You or your system administrator should prepare an instance of Acumatica ERP 2025 R1, as described in the How to Create a Tenant with the U100 Dataset section below.
What Is in a Lesson
Each lesson provides a story describing a particular user scenario and an overview of the relevant features that have been enabled in the system; configuration settings that are related to the described scenario are also listed. The lesson provides a brief overview of the process that should be performed to complete the described scenario, and instructions that guide you through the process in Acumatica ERP.
The completion of a lesson depends on the steps performed in the previous lessons. We recommend
that you complete the lessons in the listed order.
What Is in a Configuration Lesson
A configuration lesson—that is, a lesson dedicated to the configuration of system settings and entities—provides a brief overview of the required system configuration and a description of other settings that could affect the configuration workflow. Each configuration lesson includes at least one implementation activity that you have to complete in your Acumatica ERP instance to configure the core system settings or to prepare system entities.
What Is in a Process Lesson
A process lesson—that is, a lesson dedicated to the performing of a particular business process—includes a brief user scenario and a description of the process workflow. It can also include process diagrams that illustrate the user scenario supported by this process. The lesson also provides a brief overview of the settings that need to be specified and the entities that need to be prepared in the system before you start to perform this business process. Each process lesson includes at least one process activity that you have to complete in your Acumatica ERP instance to learn how to perform the described business process.
What the Documentation Resources Are
The complete Acumatica ERP documentation is available on https://help.acumatica.com/ and is included in the Acumatica ERP instance. While viewing any form used in the course, you can click the Open Help button in the top How To Use This Course | 7
pane of the Acumatica ERP screen to bring up a form-specific Help menu; you can use the links on this menu to quickly access form-related information and activities and to open a reference topic with detailed descriptions of the form elements.
How to Create a Tenant with the U100 Dataset Before you complete this course, you need to add a tenant with the U100 dataset to an existing Acumatica ERP instance. You will then prepare the tenant for completing the activities. To complete this preparation, perform the following instructions:
- Go to Amazon Storage.
- Open the folder that corresponds to the version of your Acumatica ERP instance.
- In this folder, open the Snapshots folder and download the u100.zip file.
- Launch the Acumatica ERP instance and sign in.
- Open the Tenants (SM203520) form and click Add New Record on the form toolbar.
- In the Login Name box, type the name to be used for the tenant.
- On the form toolbar, click Save.
When you create a system tenant, you may be signed out aer its creation, depending on how many non-System tenants your Acumatica ERP instance already had:
- If you started with one non-System tenant (to which you are signed in) and you create a new one, the system signs you out to switch from single-tenant mode to multitenant mode.
- If the instance had multiple non-System tenants and you create another, it is already in multitenant mode. Instead of being signed out, you wait until the system completes the operation and then proceed.
- On the Snapshots tab, click Import Snapshot.
- In the Upload Snapshot Package dialog box, select the u100.zip file, which you have downloaded, and click Upload. The system uploads the snapshot and lists it on the Snapshots tab of the Tenants form. 10.Open the Apply Updates (SM203510) form and click Schedule Lockout. 11.In the Schedule Lockout dialog box, click OK. 12.Open the Tenants form again. 13.On the form toolbar, click Restore Snapshot. 14.If the Warning dialog box appears, click Yes. 15.In the Restore Snapshot dialog box, make sure that the correct snapshot package is being uploaded and click OK. The system will restore the snapshot and sign you out. 16.Sign in to the tenant that you have just created. 17.Open the Apply Updates form again. 18.On the form toolbar, click Stop Lockout.
Which Credentials Should Be Used
To complete the lessons, sign in as the following users:
- Lesson 1.1: gibbs
- Lesson 1.2: gibbs How To Use This Course | 8
- Lesson 2.1: johnson
- Lesson 2.2: johnson
- Lesson 3.1: johnson
- Lesson 3.2: johnson
- Lesson 3.3: johnson
- Lesson 3.4: johnson
- Lesson 3.5: johnson
10.Lesson 3.6: johnson
11.Lesson 4.1: johnson
12.Lesson 4.2: johnson
13.Lesson 4.3: johnson
14.Lesson 5.1: johnson
15.Lesson 5.2: johnson
The password for each user is 123.
Which License You Should Use
For the educational purposes of this course, you use Acumatica ERP under the trial license, which does not require activation and provides all available features. For the production use of this functionality, you have to activate the license your organization has purchased. Each particular feature may be subject to additional licensing; please consult the Acumatica ERP licensing policy for details. Company Story | 9
Company Story
This topic explains the organizational structure and operational activity of the company you will work with during this training.
Company Structure
The SweetLife Fruits & Jams company is a midsize company located in New York City. The company consists of the following branches:
- SweetLife Head Office and Wholesale Center: This branch of the company consists of a jam factory and a large warehouse where the company stores fruit (purchased from wholesale vendors) and the jam it produces. Warehouse workers perform warehouse operations by using barcode scanners or mobile devices with barcode scanning support.
- SweetLife Store: This branch has a retail shop with a small warehouse to which the goods to be sold are distributed from the company's main warehouse. This branch is also planning on selling goods via a website created on an e-commerce platform to accept orders online. The e-commerce integration project is underway.
- SweetLife Service and Equipment Sales Center: This branch is a service center with a small warehouse where juicers are stored. This branch assembles, sells, installs, and services juicers, in addition to training customers' employees to operate juicers.
Operational Activity
The company has been operating starting in the 01-2024 financial period. In November 2024, the company started using Acumatica ERP as an ERP and CRM system and migrated all data of the main office and retail store to Acumatica ERP. The equipment center began its operations in 01-2025 in response to the company's growth. The base currency of the company and its subsidiaries is the US dollar (USD). All amounts in documents and reports are expressed in US dollars unless otherwise indicated.
SweetLife Company Sales and Services
Each SweetLife company's branch has its own business processes, as follows:
- SweetLife Head Office and Wholesale Center: In this branch, jams and fruit are sold to wholesale customers, such as restaurants and cafes. The company also conducts home canning training at the customer's location and webinars on the company's website.
- SweetLife Store: In the store, retail customers purchase fresh fruit, berries, and jams, or pick up the goods they have ordered on the website. Some of the goods listed in the website catalog are not stored in the retail warehouse, such as tropical fruits (which are purchased on demand) and tea (which is drop-shipped from a third-party vendor).
- SweetLife Service and Equipment Sales Center: This branch assembles juicers, sells juicers, provides training on equipment use, and offers equipment installation, including site review and maintenance services. The branch performs short-term service provision. The company has local and international customers. The ordered items are delivered by drivers using the company's own vehicle. Customers can pay for orders by using various payment methods (cash, checks, or credit cards).
Company Purchases
The company purchases fruits and spices from large fruit vendors for sale and for jam production. For producing jams and packing jams and fruits, the company purchases jars, labels, and paper bags from various vendors. For Company Story | 10
the internal needs of the main office and store, the company purchases stationery (printing paper, pens, and pencils), computers, and computer accessories from various vendors. The company also purchases juicers and juicer parts from large juicer vendors, and it either purchases the installation service for the juicers or provides the installation service on its own, depending on the complexity of the installation. Part 1: System Configuration for Multicurrency Operations | 11
Course Structure
Part 4: Revaluation of Account Balances................................................................................................. 82
Part 5: Translation of Financial Statements...........................................................................................100
Part 1: System Configuration for Multicurrency Operations
Part 2: Multicurrency Processing in the General Ledger
- Lesson 2.1: Configuring Cash Accounts in Foreign Currencies
- Lesson 2.2: Processing Multicurrency Funds Transfers
Part 3: AR and AP Documents in Foreign Currencies
- Lesson 3.1: Processing Invoices in Foreign Currencies
- Lesson 3.2: Applying Credit Memos in Foreign Currencies to Invoices
- Lesson 3.3: Paying Invoices in Foreign Currencies by Using Other Currencies
- Lesson 3.4: Processing Bills in Foreign Currencies
- Lesson 3.5: Applying Debit Adjustments in Foreign Currencies to Bills
- Lesson 3.6: Paying Bills in Foreign Currencies by Using Other Currencies
Part 4: Revaluation of Account Balances
- Lesson 4.1: Revaluing Open AP Documents
- Lesson 4.2: Revaluing Open AR Documents
- Lesson 4.3: Revaluing Bank Accounts