Can you please guide me the regarding the foreign exchange difference which is arise during a transection?
I draft a scenario to understand the situation for example my functional currency is US$
I put an order for 200 euro, and pay 100 euro pay in advance, but next month I got the material and now I have to pay remaining 50%. Now euro rate is change and remain 50% cost me 120 euro.
How I treat that extra 20Euro cost in my financial and how I avoid that.