Trade creditors
The trade credits on B/S are incorrect. We have 3 currencies, sterling, dollars and euros. I create 3 dummy suppliers accounts to correct the B/S. I had to enter credits on dollar, euros and bill on sterling to balance the trade creditors.
How can I clear the creditors account without double counting. I have inherited this problem when I start my new job.
Has anyone experience this? and can help me please.
Thanks you
Cristina
