Latest Microsoft Dynamics 365 Blogs | CloudFronts

Distributing GL amounts between financial dimensions and using advanced rules to link a dimension to only one particular account

In every organization, all kinds of expenses and revenues are tracked under dimensions like cost centers, departments, employees, etc. It is often a business requirement to split expenses or incomes in fixed proportions between two or more dimensions for accurate reporting.  On the other hand, it may be required to assign a dimension only on … Continue reading Distributing GL amounts between financial dimensions and using advanced rules to link a dimension to only one particular account

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Post Dated Checks in D365 Finance

While electronic methods of payment are becoming increasingly popular everywhere for quick payments, check payments are still popular across the world, especially post dated checks, which can be cashed out only after a specified date, giving them an edge over electronic payment methods. D365 Finance has a very simple process to create post dated checks … Continue reading Post Dated Checks in D365 Finance

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Periodic Journals/Recurring Journal Entries in Dynamic 365 Finance

In any ERP, any accounting user might want to set up periodic journals on a monthly/quarterly/year basis for recording the costs of any services, like AMC charges, rents, subscription fees, etc. It can get tedious to manually create such entries every single time indefinitely. This can lead to errors and unnecessary time consumption if the … Continue reading Periodic Journals/Recurring Journal Entries in Dynamic 365 Finance

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Advanced & Auto Bank Reconciliation in Dynamics 365 Finance

Introduction In any accounting software, it is always important to keep track of all real-time bank transactions and record them in the ERP. Since bank transactions are booked manually in the ERP, it is necessary to ensure that the bank statements and ERP records are matched on any given date. This is where bank reconciliation … Continue reading Advanced & Auto Bank Reconciliation in Dynamics 365 Finance

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Foreign Currency Revaluation in Dynamics 365 Finance

In any organization with business spanning across multiple countries, multi-currency transactions play a vital role in day-to-day business. Any accounting software should be able to facilitate currency conversions not only at the time of booking the transaction but also calculating the forex gain/loss incurred during the end of any period or after settlements are made … Continue reading Foreign Currency Revaluation in Dynamics 365 Finance

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