Use this screen to:
When you post a refund batch that contains a check refund, Accounts Receivable asks whether to print the checks.
If you are refunding in a currency that is neither your functional currency nor your customer's currency, you also specify the rate type, rate date, and the exchange rate.
If you are refunding in your customer's currency and it is different from your functional currency, you use the Rates tab to specify the exchange rate for amounts you are refunding by cash or check.