Collections,Bank Reconciliation, Financial Statements, Fiscal year closing in Microsoft Dynamics AX 2012 R3

SKU: 83015
This course discusses Collections,Bank Reconciliation, Financial Statements, Fiscal year closing in Microsoft Dynamics AX 2012 R3
*
 
$29.95
  • subtitles Full description

    DEMO: This is a sample video of this course.

     
     

    Course Length: 00 Hours 57 Minutes 09 Seconds
    The paid version of this course contains videos of following topics: 



    Course Outline

    Bank Reconcillation, Customer Refund, Collections, Financial Statements, Year-End Close and Consolidations in Microsoft Dynamics AX 2012 R3

    This module discusses the following topics:

    At Course Completion
    The goal of this course is to enable students to:

    • Bank Reconcile:

      • Checks and deposit slips, void and refund checks, manage bank remittance and payment reversals, reconcile a bank account
    • Customer Refunds
    • Financial Statements
    • Collections
    • Year-End Close Process
    • Consolidations

    Cover topics from the training materials for the Financial I and Finance II. These workshops intended to be used for all tracks include, but are not limited to: Financial, supply chain, functional, technical and development tracks. This course prepares you for Microsoft Dynamics AX 2012 R3 Finance Certification Exam.