In the previous posts of the financial structure series, we have covered the basic components of the financial structure in Dynamics AX, represented with the financial dimensions, chart of account
In the previous posts of the financial structure series, we have covered the basic components of the financial structure in Dynamics AX, represented with the financial dimensions, chart of account
The reconcile to GL utility in Dynamics GP provides a very effective tool to match the sub ledger with the general ledger module for the Bank, Inventory, AP and AR.
Date entry or posting interruption issues are usual for Dynamics GP Clients with unstable network, several common issues are received from clients such as; a batch which is marked for
It’s occasionally encountered in Fixed Assets to see a negative net book value which is not quite logical since the Life to Date depreciation amount with the Remaining Appreciable amount
As we proceed with understanding the financial structure in Dynamics AX, as we have already covered both; chart of accounts and financial dimensions, this post will shed a light on