- Financial Management Setup
- Charts of Accounts
- General Journals
- Cash Management – Receivable and Payables
- Cash Management – Bank Reconciliation
- Receivables and Payables Management: Customer and Vendor Invoicing
- Receivables and Payables Management: Payment Discounts and Payment Tolerance
- Receivables Management: Reminders and Finance Charge Memos
- VAT
- Prepayments
- Year End Closing Process
1. Financial Management Setup
- General Ledger Setup
- General Ledger Actions in the Ribbon
- User Setup
- Accounting Periods
2. Charts of Accounts
- G/L Account Card
- G/L Account Categories
- Chart of Accounts
3. General Journals
- Creating Journal Entries
- Link Incoming Documents
- Processing Journal Entries
- Processing Journal Posting Results
- Create and use a Standard Journal
- Recurring Journals
- Practice: Create and Post a Recurring Journal
- Deferrals
- Reversals and Corrections
4. Cash Management – Receivable and Payables
- Bank Account Overview
- Bank Account Currency Restrictions on Payments
- Customer and Vendors in Cash Management
- Processing Incoming and Outgoing Payments in NAV
- Cash Receipt Journal and Payment Journal Overview
- Applying Payments
- Reversal of Posted Journals
- Payment Registration
- Overview of Direct Debit Collections
- Direct Debit Collections-Part1
- Direct Debit Collections-Part2
- Suggest Vendor Payments-Part1
- Suggest Vendor Payments-Part2
- Check Management
- Overview of Payment Reconciliation
- Payment Reconciliation-Part1
- Payment Reconciliation-Part2
- Bank Data Conversion Service
- Payment Services
5. Cash Management – Bank Reconciliation
- Bank Reconciliation-Part1
- Bank Reconciliation-Part2
6. Receivables and Payables Management: Customer and Vendor Invoicing
- Invoicing Options
- Invoicing Customers
- Processing Vendor Invoices
- Correcting Posted Invoices
7. Receivables and Payables Management: Payment Discounts and Payment Tolerance
- Set Up Payment Discounts
- Process Sales Payment Discounts-Part1
- Process Sales Payment Discounts-Part2
- Process Purchase Payment Discounts
- Set Up a Payment Discount Tolerance and Payment Tolerance
- Process the Payment Discount Tolerance
8. Receivables Management: Reminders and Finance Charge Memos
- 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
- Review Reminders and Finance Charge Entries
9. 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
10. Prepayments
- Setup Prepayments
- Assign Prepayment Percentages
- Prepayments Processing Flow
- Process Prepayment Sales and Purchase Orders-Part1
- Process Prepayment Sales and Purchase Orders-Part2
- Process Prepayment Sales and Purchase Invoices
- Correct Prepayments
11. Year End Closing Process
- Closing a Fiscal Year
- Year End Closing Entries