Microsoft Dynamics 365 Finance –Accounts Receivable Customer Postdated Checks
Customer Postdated Checks: Most of the time many businesses receive payments from customers in the form of checks. Some of the checks needs to be settled or matured at some future dates. Dynamics Fin&Ops provides the functionality to record such transactions using Postdated Checks functionality…
Microsoft Dynamics 365 Finance –Accounts Receivable Customer Payment Receipts
Customer Payment Receipts: Customer payments are usually settled using Customer Payment Journal in the Accounts Receivable Module. To settle a Customer outstanding Invoice, Go to>Account Receivable>Payments>Customer Payment Journal Click new to create a new payment journal, Choose journal from the dropdown. Choose the newly…
Microsoft Dynamics 365 Cash & Bank Management – Create and Delete Checks
Create and delete Checks: Dynamics Finance & Operations allows to configure two types of Checks in Cash & Bank Management module: 1- Free (In this method system allows to create checks without any prior check creation) 2- Fixed (In this method checks are generated prior…
Microsoft Dynamics D365 Expense Management Process
Expense Management Create Expense Report To create an Expense Report, go to Expense Management > My Expenses >Expense Report Open expense reports and create a new one, fill in Report purpose, Location and warehouse and click “Ok” Record Expenses in Expense Report To Record Expenses…