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Payables Management II in Microsoft Dynamics GP 9.0 Course
8598: One day; Instructor-led |
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| Introduction A thorough understanding of these topics allows you to streamline monthly and year-end closing processes by learning how to automate routine activities such as reports. You will learn tips for troubleshooting and maintaining data integrity. This course also teaches you how to maximize your reporting and analysis capabilities with inquiries and reports that can be customized to meet your specific business needs. Top of page The class is targeted toward data entry clerks, administrators; office managers, CEO's, and consultants who need to understand the technical aspects of Microsoft Dynamics GP Payables Management and gain foundational knowledge of the application functionality. Top of page • Setup Payables
Management to meet business needs
• Financial
Series I course or equivalent working experience with Microsoft Dynamics
GP
Top of page Top of page This chapter focuses on the setup procedures for the Payables Management module. We examine how to customize the posting setup and posting accounts to streamline the data entry process. This chapter focuses on the use of vendor classes and vendor class accounts to minimize the amount of information that has to be entered when setting up your vendors. Main Topics • Posting Setup Lab: Test Posting Settings • Modify existing
Posting Setup Lab: Posting to a Closed Period • Verify Financial
Series is closed Lab: Setup Changes • Modify Payables
Management Setup selections Lab: Vendor Class Setup Changes • Modify Vendor
Class selections After completing this chapter, students should be able to: • Modify posting
settings for Payables Management Chapter 2: Transaction Flow This chapter focuses on how data flows from the Work to Open to History tables as transactions are posted. This chapter focuses on the tables that are updated as data is processed for transactions and computer checks in Payables Management. We will also discuss the integration of all modules in the Microsoft Dynamics GP system. Main Topics • Integration Lab: Tracing Transactions • Modify posting
settings After completing this chapter, students should be able to: • Understand
how data flows from Work to Open to History tables Chapter 3: Advanced Functionality In this chapter we discuss the advanced functionality that is available in Payables Management. Multidimensional Analysis provides increased reporting and analysis capabilities without expanding your chart of accounts. Another focus of this section is Intercompany processing which allows transactions to be posted in one company and affect other companies in the organization. Finally, processing manual and computer checks, along with "Zero-dollar" checks is discussed in detail in this chapter. Main Topics • Scheduled
Payments Lab: Scheduled Payments • Create a payment
schedule for an invoice Lab: Multidimensional Analysis • Enter vendor
invoice Lab: Intercompany Transactions • Enter and
post an intercompany transaction Lab: Computer Checks • Create a computer
check batch Lab: Manual Payments • Enter and
post payment for vendor invoice Lab: Prepayments • Create payables
check batch Lab: "Zero-dollar" checks • Create check
batch Lab: Add to Batch • Select computer
check batch After completing this chapter, students should be able to: • Enter and
post Scheduled Payments Chapter 4: Maintaining Records This chapter examines the functionality available to maintain your Payables Management records. There is also a section that focuses on correcting posted entries as well as changing and deleting records. Time is also spent discussing how to remove Payables Management history and the types of history information stored in the system. Main Topics • Editing Transaction
Information Lab: Editing Transaction Information • Edit Payment
Terms information for vendor invoice Lab: Void an Open Transaction • Void vendor
invoice Lab: Void a Historical Transaction • Void vendor
invoice Lab: Delete a Vendor • Delete vendor
record After completing this chapter, students should be able to: • Correct posted
entries Chapter 5: Inquiry and SmartList This chapter focuses on the multiple methods for quick and easy information retrieval. The Inquiry and SmartList functions provide numerous ways to instantly view relevant summary and detail information about account activity and transactions. We'll also look at exporting SmartList queries to Microsoft Excel or to Microsoft Word. Main Topics • Inquiries Lab: Tracing Transactions • Use Trx by
Vendor Inquiry window Lab: SmartList • Create SmartList
query After completing this chapter, students should be able to: • Perform Summary
and Detailed inquiries for current and historical accounts Chapter 6: Reports This chapter focuses on how to create report options which may be grouped together to print multiple reports within a series or combined to print reports containing data from multiple series to maximize reporting capabilities for your financial data. Reports can be very useful in locating discrepancies that need to be corrected. Time is spent discussing how to utilize the trial balance reports to analyze Payables Management data. Main Topics • Creating Report
Options Lab: Aged Trial Balance with Options • Print the
Payables Summary Aged Trial Balance with Options report Lab: Report Groups • Set up report
option After completing this chapter, students should be able to: • Create and
modify report options Chapter 7: Period-End Procedures This chapter examines the process of closing an accounting period for Payables Management. The steps necessary to complete each phase of the closing process are discussed in detail. We look at the reports that should be printed before performing the closing process and the steps to reconcile to General Ledger. Time is spent examining what actually takes place during the closing process and how to close the fiscal period to prevent additional transactions from being posted to a period. Main Topics • Period-end
Closing Checklist Lab: Period Closing • Perform the
month end procedures After completing this chapter, students should be able to: • Complete the
processes that are performed at the end of an accounting period Chapter 8: Year-End Procedures This chapter examines the process of closing the year. The steps necessary to complete each phase of the closing process are discussed in detail. Time is spent examining 1099 reports, how to reconcile the amounts and print the statements. Steps are provided for closing the calendar and fiscal year in Payables Management and the Sales Tax Periods for the year. Main Topics • Calendar Year-End
Closing Checklist Lab: Year-end Closing • Post all transactions
for the period After completing this chapter, students should be able to: • Reconcile
1099 amounts Chapter 9: Tips and Troubleshooting This chapter focuses on techniques available for troubleshooting problems that may arise during posting or year-end processing. We look at the Batch Recovery process for releasing "stuck" batches and how to recreate the PM Key Master file. A section of commonly asked questions about Payables Management transactions is included in this section. Main Topics • Batch Recovery Lab: Releasing a Payables Batch stuck in posting status • Verify batch
status Lab: Recreating the PM Key Master File • Run SQL statement Lab: Distribution Errors • Enter vendor
invoice After completing this chapter, students should be able to: • Recover a
batch that has become "stuck" in the system Chapter 10: Conclusion In this chapter we discuss the key points that have been covered throughout this course. Main Topics • How to trace
transactions Appendix A: Smart Tags This section contains information on Smart Tags or links between Microsoft Office documents and data in Microsoft Dynamics GP. The items that may be recognized and "tagged" in Microsoft Office XP are discussed in the section. The focus of this section is to highlight the benefits of Smart Tags and how you can use them in your business. Main Topics • How Smart
Tags work After completing this chapter, students should be able to: • Understand
how Smart Tags work Appendix B: Professional Service Tools Library This chapter contains information on the Professional Services Tools Library and how it can provide help for users to consolidate and change critical data ( quickly and accurately. Users can purchase tool individually, select any three tools or purchase the entire library. Main Topics • Financial
Series Tools After completing this chapter, students should be able to: • Understand
the tools that are available in the Professional Service Tools Library
and how they can be used in your organization |
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