Course 80219A: Financials I in Microsoft Dynamics AX 2012
- 1. General Ledger Setup
- 2. Chart of Accounts Setup
- 3. Journal Setup
- 4. General Ledger Daily Procedures
- 5. Sales Tax Setup
- 6. Financial Features
- 7. Cash and Bank Management Setup
- 8. Cash and Bank Management Daily Procedures
- 9. Accounts Payable Setup
- 10. Accounts Payable Daily Procedures
- 11. Accounts Receivable Setup
- 12. Accounts Receivable Daily Procedures
1. General Ledger Setup
- Currency and Exchange Rate Setup
- Periods and Fiscal Year Setup
- Date Intervals
- Reason Codes
- Financial Dimensions
- Financial Dimension Sets
- Period Allocations
2. Chart of Accounts Setup
- Main Account Categories
- Chart of Accounts
- Main Account Information
- Main Account Administration Information
- Main Account Setup Information
- Configuring Account Structures
- Advanced Rules
- Ledger Setup
- Accounts for Automatic Transactions
- Inquiries and Reports Related to the Chart of Accounts
3. Journal Setup
- Journal Setup
- Journal Controls
- Journal Descriptions
- Balance Control Accounts
- General Ledger Parameters
4. General Ledger Daily Procedures
- General Ledger Journals
- Enter General Ledger Transactions
- Posting Multiple Journals
- Approval Journals
- Gathering Data for an Approval Journal
- Voucher Templates
- Periodic Journals
- General Ledger Transaction Reversal
- Reversing Entries - General Journal
- Inquire and View Reports on Daily Journal Transactions
5. Sales Tax Setup
- Sales Tax Overview
- Ledger Posting Groups
- Sales Tax Authorities
- Sales Tax Settlement Periods
- Sales Tax Codes
- Sales Tax Code Intervals
- Sales Tax Groups
- Item Sales Tax Groups
- Sales Tax Jurisdictions
- Sales Tax Transactions
- Sales Tax Exemption
- Withholding Sales Tax
6. Financial Features
- Financial Reason Codes
- Fill Utility
7. Cash and Bank Management Setup
- Bank Transaction Types
- Bank Transaction Groups
- Cash and Bank Management Parameters
- Payment Purpose Codes
- Bank Groups
- Bank Accounts
- Check Layout
8. Cash and Bank Management Daily Procedures
- Create Checks
- Delete a Check
- Deposit Slips
- Void Unposted Checks
- Refund Checks
- Bank Remittance
- Payment Reversal
- Reconcile a Bank Account
9. Accounts Payable Setup
- Payment Schedule
- Terms of Payment
- Payment Days
- Cash Discounts
- Payment Fee
- Methods of Payment
- Vendor Groups
- Accounts Payable Posting Profiles
- Accounts Payable Vendors
10. Accounts Payable Daily Procedures
- Invoice Journals in Accounts Payable
- Invoice Register
- Invoice Approval Journal
- Vendor Invoice Pool Excluding Posting Details
- Invoice Journal
- Voucher Template
- Payment Journals
- Prepayments
- Invoice Matching
- Charges to Purchase Order Invoices
- Edit Open Transactions
- Reverse a Closed Transaction
- Print Management
11. Accounts Receivable Setup
- Payment Schedule
- Terms of Payment
- Payment Days
- Cash Discounts
- Payment Fee
- Methods of Payment
- Customer Groups
- Accounts Receivable Posting Profiles
- Accounts Receivable Customers
12. Accounts Receivable Daily Procedures
- Free Text Invoice - Description and Usage
- Payment Journals
- Edit Open Transactions
- Placing an Accounts Receivable Transaction on Hold
- Reverse Settlements
- Reimburse a Customer
- Reason Codes
- Print Management