Originally posted by Kathryn Watkins
1/11/2018
Looking for documentation on how to load data in Alternate Input Currency - necessary settings for flow members, etc. Is anyone able to answer some questions on this? From the Design & Reference Guide it looks like he would have to set the Account's property UseAltInputCurrencyInFlow = True. Then he would create a Flow member and set Flow Processing Type. We're not sure which setting to select on this property as he only needs to do this for historical data. Can anyone provide advise or point us to where there is more documentation? Have been looking through Level2 training docs and haven't found details yet.