Click Basic> Setup> Foreign trade> Intrastat parametersto open the Foreign trade parametersform.
In the Default bank for Intrastat calculationfield, select the bank group for Intrastat calculation.
In the Intrastat calculation methodfield, select the calculation method for the Intrastat report.
You can select either the shipping date or the contract fulfillment date as the base date for the Intrastat exchange rate. The shipping date is the date of the packing slip. The contract fulfillment date is selected in the Intrastat fulfilment datefield in sales and purchase forms.
Press CTRL+S or close the form.