Course 80576A: Fixed Assets in Microsoft Dynamics GP 2013
- 1. Overview and Setup Procedures
- 2. Daily Procedures
- 3. Maintaining Records
- 4. Period-End Procedures
1. Overview and Setup Procedures
- Features and Benefits
- Fixed Assets Processes and Integration
- Configure the Fixed Assets Calendar
- Enter Account Groups
- Enter Fixed Assets Post Accounts
- Create Insurance and Asset Class Records
- Create Book Records
- Create Book Class Records
- Fixed Assets Company Setup
- Create Location and Physical Location Records
- Create Lease, Retirement and Structure Records
- Fixed Assets User Preferences
- Enter Existing Assets
2. Daily Procedures
- Asset General Information
- Asset Account Information
- Asset Book Information
- Asset Insurance and Lease Records
- Asset User Data
- Payables Management Interface
- Purchase Order Processing Interface
3. Maintaining Records
- Select Assets
- Depreciation Projections
- Changing Asset Information
- Transferring Assets
- Retire Assets
- Retire Undo
- Asset Utilities
- Using Inquiries
- Report Options and Printing
- Report List
4. Period-End Procedures
- Period-End Procedures
- Year-End Procedures