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Description
This course describes how to set up and manage a company's financial activities in Microsoft Dynamics 365 Business Central 
What are the goals for this course?
- Setup the General Ledger
 - Define accounting periods
 - Setup a Chart of Accounts
 - Create and post journal entries
 - Review recurring journals
 - Create a bank account
 - Apply payments
 - Describe debit collections
 - Define check management
 - Reconcile payments
 - Process payments to include discounts
 - Set up and assign reminder terms and finance charge terms
 - Define VAT calculation types and calculate VAT
 - Transfer statement account balances
 - Setup prepayments
 - Close a fiscal year
 - General knowledge of Microsoft Office
 - General knowledge of Microsoft Dynamics 365 Business Central
 - Some previous experience with development processes and concepts with Microsoft Dynamics NAV or Business Central
  
Программа курса 
Module 01: Getting Started with Finance 
- Finance Focused Role Centers
 - Finance Master Data
  
Module 02: Chart of Accounts 
- G/L Account Card
 - Create an Account in the G/L Account Card
 - G/L Account Categories
 - Maintaining G/L Account Categories
 - Assign Dimensions to G/L Accounts
 - Assign Dimensions to a Single Account
 - Maintaining the Chart of Accounts
 - How to maintain the Chart of Accounts
 - G/L Entries
  
Module 03: General Journals 
- Creating Journal Entries
 - How to Create Journal Entries
 - Processing Journal Entries
 - Standard Journals
 - Recurring Journals
 - Processing Recurring Journals
 - Deferrals
 - Using Deferrals
 - Reversals
  
Module 04: Processing Customer and Vendor Invoices 
- Invoicing Options
 - Invoicing Customers
 - Processing Vendor Invoices
 - Correcting Posted Invoices
  
Module 05: Cash Management — Receivables and Payables 
- Bank Account Overview
 - Bank Account Card Fields
 - Customer and Vendors in Cash Management
 - Analyzing Receivables and Payables
 - Cash Receipt Journal and Payment Journal Overview
 - Entering Payments in the Cash Receipt Journal and Payment Journal
 - Applying Payments
 - Applying Payments Scenarios
 - Payment Registration
 - Reconcile Payments with the Payment Registration
 - Suggest Vendor Payments
 - Use the Suggest Vendor Payments Batch Job
 - Check Management
 - Print and Void Checks
 - Payment Reconciliation
 - Using the Payment Reconciliation Journal
 - Bank Data Conversion Service
 - Payment Services
 - How to Set Up and Use Payment Services
  
Module 06: Cash Management — Bank Reconciliation 
- Bank Reconciliation
 - Performing a Bank Reconciliation
  
Module 07: Payment Discounts and Payment Tolerances 
- Payment Discounts
 - Set Up Payment Discounts
 - Process Sales Payment Discounts
 - How to process Sales Payment Discounts
 - Process Purchase Payment Discounts
 - Payment Discount Tolerance and Payment Tolerance
 - Set Up a Payment Discount Tolerance and Payment Tolerance
 - Process the Payment Discount Tolerance
  
Module 08: Managing Receivables Reminders and Finance Charge Memos 
- Reminder Terms
 - Set Up and Assign Reminder Terms
 - Set Up Additional Fee
 - Create and Issue Reminders
 - Set Up and Assign Finance Charge Terms
 - Create and Issue Finance Charge Memos
 - Calculate Interest on Reminders
 - Interest Calculation Rules in Reminders
 - Review Reminders and Finance Charge Entries
  
Module 09: VAT 
- Display VAT Amounts in Sales and Purchase Documents
 - Adjust VAT Amounts in Sales and Purchase Documents and Journals
 - Unrealized VAT
 - VAT Statements
 - VAT Settlement
 - Running the Calc. and Post VAT Settlement Batch Job
  
Module 10: Prepayments 
- Setup Prepayments
 - Assign Prepayment Percentages
 - How to Assign Prepayment Percentages
 - Process Prepayment Sales and Purchase Orders
  
Module 11: Accounting Periods 
- Accounting Periods Window
 - Creating New Accounting Periods
 - Allow and Disallow Posting
 - Closing a Fiscal Year
 - How to Close a Fiscal Year
  
 
Облачный сервис Microsoft Dynamics 365 объединил в себе самые последние CRM- и ERP-решения компании для комплексного и более продуктивного управления бизнесом, включая контроль рабочего процесса, распределение ресурсов, формирование различных видов финансовой отчетности, а также повышение качества предоставляемых организацией услуг, анализ клиентской активности или планирование продаж. 
Пользователи сервиса Microsoft Dynamics 365 могут использовать широкие возможности интегрированных аналитических инструментов Power BI и сервисов продвинутой аналитики из «облака» Microsoft Azure Cortana Intelligence Suite для оптимизации производства, получения детализированных рыночных прогнозов и создания актуальных, учитывающих множество экономических факторов, маркетинговых планов. 
По окончании авторизованного курса Microsoft выдаётся международный сертификат Microsoft
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