Dynamics PTS Team Blog

A blog managed by Dynamics Partner Technical Services team for Global English

Workshop: GP 2013 – Overview of Bank Reconciliation

Please find the details of the “GP 2013 – Overview of Bank Reconciliation” workshop below. Agenda Bank Reconciliation Setup Key Master Information In Bank Reconciliation Checkbook Maintenance EFT Information Transaction Processing in Bank Reconciliation Bank Transactions & Receipts Bank Transfers Bank Deposits Bank Reconciliation Inquiries & Reporting Checkbook Register Checkbook Inquiry Routines Reconcile Bank to… Read more

Workshop: GP 2013 – Overview of Accounts Payable

Please find the details of the “GP 2013 – Overview of Accounts Payable” workshop below. Agenda Accounts Payable Setup Key Master Information In Accounts Payable Vendor Master Vendor Address Master EFT for Payables Information 1099 Information Transaction Processing in Accounts Payable Payables Transactions Checks Processing EFT Processing Manual Payments Transaction Editing & Voiding Process Edit… Read more