Microsoft Dynamics NAV 2016 Financial Management, 2nd Edition Front Cover

Microsoft Dynamics NAV 2016 Financial Management, 2nd Edition

  • Length: 199 pages
  • Edition: 2nd Revised edition
  • Publisher:
  • Publication Date: 2017-03-06
  • ISBN-10: 1786469499
  • ISBN-13: 9781786469496
  • Sales Rank: #1358065 (See Top 100 Books)
Description

Key Features

  • Familiarize yourself with Dynamics NAV and get up to date with the latest release – this is an invaluable tool for financial management
  • Learn how to use reporting tools that will help you to make the right decisions at the right time
  • Explore features inside the sale and purchase areas as well as functionalities including payments, budgets, cash flow, fixed assets, and business intelligence

Book Description

Microsoft Dynamics NAV is a global Enterprise Resource Planning (ERP) solution that provides small and mid-size businesses with greater control over their finances and a way to simplify their supply chain, manufacturing, and operations.

Microsoft Dynamics NAV Financial Management explains all you need to know in order to successfully handle your daily financial management tasks. This book walks you through all the improvements in the latest release and shows you how to apply them in your workplace.

You will learn about functionalities including sales and purchase processes, payments, bank account management, reporting taxes, budgets, cash flow, fixed assets, cost accounting, inventory valuation, workflows, sending and receiving electronic documents, and business intelligence. This book comprehensively covers all the financial management features inside the latest version of Dynamics NAV and follows a logical schema. By the time you’re finished this book you will have learned about budgets, cash flow management, currencies, intercompany postings, and accounting implications in areas such as jobs, services, warehousing, and manufacturing.

What you will learn

  • Handle complete business processes for purchases and sales in Dynamics NAV.
  • Use the banking features and the reconciliation process to gain greater insights into a company’s financial status.
  • Report data in a meaningful way that provides the company with insightful analysis.
  • Set up dimensions and link them with master tables and journals.
  • Work with multi-currency and intercompany postings. Receive and send documents electronically.
  • Manage complete Fixed Asset by Setup, transactions, budgets, and Fixed Asset Reporting.

Table of Contents

Chapter 1: The Sales and Purchase Processes
Chapter 2: Managing Payments and Banks
Chapter 3: Accounting Processes
Chapter 4: Reporting and Business Intelligence
Chapter 5: Foretelling – Budgeting and Cash Flow Management
Chapter 6: Financial Management Setup
Chapter 7: Other Financial Functionalities
Chapter 8: Fixed Asset Setup and Transactions

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