Financials II in Microsoft Dynamics AX 2012

Training

Inhouse

£ 1,850 VAT exempt

Description

  • Type

    Training

  • Methodology

    Inhouse

  • Duration

    86 Days

  • Start date

    Different dates available

This course explores topics such as the setup and usage of budgeting, cash flow management, multicurrency, intercompany, and consolidated accounting. Additionally, students learn about the multiple advanced payment options, how to produce customer account statements, collection letters, complete year-end close functionality, and produce financial statements. This course is an extension of the Financials I course.

Facilities

Location

Start date

Inhouse

Start date

Different dates availableEnrolment now open

Questions & Answers

Add your question

Our advisors and other users will be able to reply to you

Who would you like to address this question to?

Fill in your details to get a reply

We will only publish your name and question

Reviews

Subjects

  • Financial Training
  • Financial
  • Microsoft Dynamics
  • Options
  • Cash Flow
  • Cash Flow Management
  • Budgeting

Course programme

This course explores topics such as the setup and usage of budgeting, cash flow management, multicurrency, intercompany, and consolidated accounting. Additionally, students learn about the multiple advanced payment options, how to produce customer account statements, collection letters, complete year-end close functionality, and produce financial statements. This course is an extension of the Financials I course.

Audience Profile:

This course is intended for partners, customers and other end users of the financial modules in Microsoft Dynamics AX.

At Course Completion:

After completing this course, students will be able to:

  • Set up Basic Budgeting and configure Budget Controls.
  • Enter Budget Data.
  • Define an Encumbrance and complete year-end Commitments.
  • Set up Cash Flow Forecasting and create and calculate Cash Flow transactions.
  • Set up and run Foreign Currency Revaluation.
  • Set up and process Advanced Payments.
  • Set up Intercompany Accounting and post and trace Intercompany transactions.
  • Set up Consolidation and Subsidiary Companies.
  • Print Customer Statements, process Collection Letters, set up Interest Codes and calculate Interest.
  • Define Workflows and create financial module Approvals.
  • Complete Year-End steps and procedures.
  • Create and print Financial Statements.

(cited from Microsoft Learning website)

Financials II in Microsoft Dynamics AX 2012

£ 1,850 VAT exempt