Dynamics AX 2009 finanace training

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Dynamics AX 2009 Financial Management Training

description

Dynamics AX 2009 training - Finance

Transcript of Dynamics AX 2009 finanace training

Page 1: Dynamics AX 2009 finanace training

Dynamics AX 2009

Financial Management Training

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AGENDA

System Navigation

General Ledger

Accounts Payable

Accounts Receivable

Year End Procedures

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SYSTEM NAVIGATION

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SYSTEM NAVIGATION – MAIN INTERFACE

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SYSTEM NAVIGATION

Address barModule bar (change the sequence)Function listStatus bar (currency, company) SortingFilter (Ctrl G)Filter by selectionTab pages

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SYSTEM NAVIGATION

Save filterFavorite and favorite query(Drag and Drop)Close allGo to main table form function

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GENERAL LEDGER

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CHART OF ACCOUNTS

Chart of Accounts Detail (GL > Common Forms)

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CHART OF ACCOUNTS

Parameters: Account type DR/CR Requirement Balance Control Closed Exchange adjustment

Enquires Transaction Balance Period Balance

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PRACTICE

Create an Account Code: 6068xx Name: Your Name + “Expenses” i.e. Alex

Expenses Account Type = Profit and Loss

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DIMENSION

Dimensions (Common forms) For Analysis Department, Cost Center, Purpose E.g. Department

Travel Expense Salary Expense Insurance Expense

Transactions

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PRACTICE

Create A New Department Name: Your name + “Department”

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EXCHANGE RATES

Exchange Rates (Setup) Create new currency

Currency Converter Posting Accounts

Create new exchange rate lines Exchange Rates Date Backward Searching

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DAILY OPERATIONS

Overview Create Journal Post Print Journal Inquire Voucher

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CREATE JOURNAL

2 Methods1. Traditional Debit Credit2. Offset Accounts

For Single line entry only Equal to 1 line of debit and 1 line of credit

Offset Account type Ledger (Accounts) Customer (Sub-ledger) Vendor(Sub-ledger) Bank(Sub-ledger)

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SUB-LEDGER CUSTOMER

Sun Televisio

n

• 130100 Accounts Receivable - US

Earth Televisio

n

• 130100 Accounts Receivable - US

Sky Televisio

n

• 130200 Accounts Receivable - Foreign

Customer accountsSummary Account(Locked in Journal)

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CREATE JOURNAL

Currency Dimension Validate Post Print Journal

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PRACTICE

Create a new journal Journal Name: General Journal Debit Your Expense Credit Petty Cash Transaction text: Your name + Expenses Validate and Post

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BALANCE CONTROL ACCOUNT

Balance Control Account (Inquiry -> Balance Control

Forecast the impact to the pre-defined accounts before the posting of the journals

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SAVE VOUCHER TEMPLATE

Save Voucher Template (Function -> Save voucher template)

Frequently used Voucher Amount template Percent template Load the template (Function -> Select

voucher template)

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PRACTICE

Create a voucher Debit: 606500, 606600, 606700 Amount: $200, $300, $500 respectively Credit: 110180 Petty Cash, $1000 Transaction Text: Your name + Journal

Template Save as percent template Create a new journal with the template with

amount 100000 Check the result

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REVERSE TRANSACTION

Reverse Transaction (Chart of Accounts detail -> Transactions)

Highlight the entry and Press reverse transactions

Enter Posting Date Check the voucher Print

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PRACTICE

Reverse the journal that you created previously

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REVERSING ENTRY Auto-gen an opposite sided voucher on the reversing

date For accrual, reporting requirement etc. Create a New Journal Go to General Tab Tick Reversing Entry Checkbox Enter Reversing Date Post Inquire Voucher Transactions, look for

entry generated

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PRACTICE

Create an reversing entry with your expense account

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PERIODIC JOURNAL

Periodic Journal (Periodic -> Periodic Journals) Recurring expenses, income, subscription

etc. Create a new entry in periodic journals Date and Transaction Date Periodic Tab

Unit Number of Units Last Date

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PERIODIC JOURNAL

Retrieve Period Journal Create a new general journal Period Journal -> Retrieve Journal Enter “To Date” and Select the period Journal Press “OK” Check the generated journal Validate and Post Check the periodic journal

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PRACTICE

Create your own periodic journal Retrieve it Check the periodic journal

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EXCHANGE ADJUSTMENT

Case 16 May Euro: US = 135 At 16 May I entered a voucher which

Dr Petty Cash 1000 EuroCr Sales 1000 Euro

The Euro worth 1350 US at 16 May 1 June Euro: US = 120 The Euro worth 1200 US now You earn a unrealized loss of USD$150

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EXCHANGE ADJUSTMENT

Select Accounts to be adjusted Select from date and to date Select Currency Code: EUR Tick Adjust Balance Sheet Accounts

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EXCHANGE ADJUSTMENT

Check the result Chart of Accounts detail Select the petty cash account and press

transactions Browse the voucher

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REPORTS AND ENQUIRES

Non posted journal lines (Reports > Journal) Account statement (Chart of Account details) Balance list (Reports > Periodic) Trial Balance (Reports > Periodic) Financial Statement (Reports > Periodic) Audit Trail Voucher transactions

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MORE FUNCTION AND FEATURES

Approval Account Allocation Accrual Scheme

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ACCOUNTS PAYABLE

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VENDORS

Vendor Details (Common Forms) Vendor Group Administration -> Stopped Default Terms of Payment Default Method of Payment Cash Discount Transactions Balance

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PRACTICE

Create your own vendor Name: Your name + Vendor Group: 80

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TERMS OF PAYMENT

Terms of Payment (Setup > Payment) Setup > Payment Method Months, Days Payment Schedule Payment day

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PRACTICE

Create your own terms of payment

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METHOD OF PAYMENT

Posting Account type Payment Account Payment Control

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DAILY OPERATION

With Approval Invoice Register Approval Journal

Without Approval Invoice Journal

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INVOICE REGISTER

Data Entry Clerk

AP Supervisor

AP Manager

Create Invoice Register Create Invoice App. Jrn. Post Invoice App. Jrn.

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INVOICE REGISTER

Invoice Register (Journal > Invoice) Create a new line Select Vendor Invoice register -> single sided The offset account will be entered in Invoice App.

Jrn Enquire the voucher generated

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PRACTICE

Create your own invoice register Crediting your vendor

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INVOICE POOL

Invoice Pool (Enquiry > Invoice Pool) Shows the un-approved invoice register

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INVOICE APPROVAL JOURNAL

Create a new invoice approval journal Fetch vouchers Highlight and Select Fill in Debit Account Post Enquire the Voucher Generated

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PRACTICE

Approve your invoice register

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INVOICE JOURNAL

Invoice Journal (Journal -> Invoice) Create a new line in journal Select Vendor Account Key in Invoice# Key in transaction text Amount Ledger account Terms Cash discount Post Inquiry voucher

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PRACTICE

Create a invoice Credit your Vendor Post

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SETTLEMENT Payment Journal (Journals -> Payments) Create a new payment journal Select Vendor Account Function -> Settlement Mark the invoice

One Fully Settle One Partial Settle

Amend the Amount to settle if needed Cash Discount Close the window Generate Payment Post Inquire voucher

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PRACTICE

Settle the invoice you created previously

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REVERSE TRANSACTION

What can I do if I settled the wrong invoice? 2 Steps1. Remove the relationship between the wrong

invoice and payment Vendor Detail -> Closed transaction editing Locate the invoice/ payment Mark them Press Reverse

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REVERSE TRANSACTION

2. Build a new relationship between the payment and the right invoice

Vendor Detail -> Open Transaction Editing Locate both invoice and payment Mark them Press “Update” Check the result in vendor closed transaction

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PRACTICE

Reverse your settlement you created previously and mark it with a new invoice

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REALIZED EXCHANGE GAIN AND LOSS

Create Invoice of EUR$10000 Rate @ 128 Settle it with EUR$10000 @ 138 Inquire the voucher generated

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PRACTICE

Create your own set of invoice and settlement illustrating realized exchange gain and loss

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EXCHANGE ADJUSTMENT

Case 16 May Invoice $1000 Euro with Vendor A 16 May Euro: US = 135 At 16 May you owe Vendor A USD$1350 1 June Euro: US = 120 At 1 June you owe Vendor A USD$1200 You earn a unrealized gain of USD$150

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EXCHANGE ADJUSTMENT

Preparation Create an invoice of your vendor dated 16

May Credit Euro $1000, Amend the exchange rate

to 135 Post Update the exchange rate of EURO as at 1

June to 120

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EXCHANGE ADJUSTMENT SIMULATION

Illustration Exchange adjustment simulation (Periodic >

Exchange adjustment Simulation Method Considered Date Date of rate Vendor (Select your vendor) Check the result

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EXCHANGE ADJUSTMENT

Exchange adjustment Consideration date (Outstanding as at) Enter Transaction Text OK Locate the entry and press voucher Vendor Transactions Voucher History

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REPORTS AND ENQUIRIES

Vendor Transactions (Vendor Details) Vendor Balance (Vendor Details) Open Invoice Transactions (Reports > Trans. >

Invoice) Account Statement (Reports > Trans > Vendor) History by Transaction (Reports > Trans >

Vendor) Vendor Aging Report (Reports > Status) Vendor Balance List (Reports > Status) Vendor Invoice Journal (Reports > Statistics >

Invoice)

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MORE FUNCTIONS AND FEATURES

Prepayment/ Deposit

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ACCOUNTS RECEIVABLE

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CUSTOMER

Create your own customer Name: Your name + Customer Customer Group: 80

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DAILY OPERATION

Free Text Invoice Payment Journal

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FREE TEXT INVOICE

Free Text Invoice (Common forms) Create a new line Select customer Add new Invoice line Enter description Select ledger account Enter Amount Post Enquire the voucher

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PRACTICE

Create your own Free Text Invoice

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PAYMENT JOURNAL

The procedures are the same as in AP module

Refer to the steps in AP and try it!

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REPORTS AND ENQUIRIES

Customer Transactions (Customer Details) Customer Balance (Customer Details) Invoice Journal (Reports > Trans > Invoice) Customer Transactions (Report > Trans >

Customer) Customer Aging (Report > Status) Detail Due Day List (Reports > Status) Customer Balance List (Reports > Status)

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MORE FUNCTIONS AND FEATURES

Prepayment Reimbursement

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YEAR END PROCEDURES

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YEAR END PROCEDURES

Create New Fiscal Year Closing Entries Opening Entries (Opening Transfer)

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GENERAL LEDGER

Fiscal Period (GL > Setup > Periods) Fiscal Period is independent from transaction

date Reporting Purpose Fiscal Period Status

Stopped vs Closed Module Status

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GENERAL LEDGER

Fiscal Period (GL > Setup > Periods) Create New Year Start and End Length of Period Divide Period (For irregular fiscal Period) Delete Period Recal.- Period Balance

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CLOSING SHEET

Closing Sheet (GL -> Periodic -> Fiscal Year Close)

Create New Closing Sheet Enter From, To Date Voucher# and Date Load Accounts Enter Transfer Value Post

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OPENING TRANSACTIONS

Enter Fiscal Year End Date Confirm Retain Earning Account Enter Opening Voucher # Check Print Box

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BANK MANAGEMENT

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BANK MANAGEMENT

Deposit Slip Check Bank Reconciliation

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THANK YOU