Dear all
it seems that in 6.1 a change has been introduced in the way the
liquidity journals are handled
When you setup such a journal the system is requesting to enter the same
currency both in the journal
and in the secondary currency field of the associated accounts
As a side effect you must have as many accounts as currencies used
In 6.0 this behaviour was optional and fine to me
I don't understand nor agree to that change
Your inputs are welcome
--
Très cordialement
Maurice MORETTI
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