IntelliMatch – Revaluing Items and Balances

To reconcile or report on an account balance pool, all the data in the account balance pool must be in the same currency.  Translating the items in an account balance pool into the same currency is called revaluing the items.  The currency you revalue to can be the company-level currency or the account balance pool-level currency.


Revaluing items can be performed during the import of items or on previously imported data within the system.