請(qǐng)問(wèn)出口企業(yè)收款和銷售月份不同,匯率不同,在收款和銷售,結(jié)匯時(shí)都用了匯兌損益,可以嗎?比如客戶先打錢來(lái)1 萬(wàn)匯率是7,下月出口匯率是7.1,外銷時(shí)這里差額用了匯兌損益,借:應(yīng)收賬款外匯款,1萬(wàn)*7=7萬(wàn) 借:匯兌損益1000 貸主營(yíng)業(yè)務(wù)收入1萬(wàn)*7.1=71000 還有一種就是已外銷,1萬(wàn) 匯率7.2 下月收款當(dāng)月匯率是7.15分錄:借:銀行存款外幣 1萬(wàn)*7.15=71500 借 匯兌損益500貸:應(yīng)收外匯賬款1萬(wàn)*7.2=72000 最后銀行外幣結(jié)匯時(shí)也用匯兌損益,這樣就沒(méi)有差額,這樣做對(duì)嗎?
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