Experts,
I am trying to incorporate the rate type DIV for dividends into a currency translation rule in my consolidation process. I would like to make these rates specific to a given entity for a given time period instead of making it a Global rate. I am performing currency translation as a part of the consolidation process through the consolidation monitor. I have searched for documentation on this to no avail. Any guidance to either documentation or suggestions on how to approach this task is appreciated.
Regards,
Greg