In a PY and US dual currency setup. Being PY the local currency and US the additional currency. I observed that the cost of sales that the system registers in the general ledger is the result of dividing the cost of sales by the value of the currency for the day of the sale and this is a conceptual error. The value of the cost of sales in additional currency must be the historical value of such inventory and not a linear change of the value in local currency divided by the exchange rate on the day of the transaction.
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