Hier finden Sie unsere Termine im Bereich "Microsoft technische Seminare" mit Durchführungsgarantie!
Microsoft Business Apps
Was werden Sie in diesem Seminar erlernen?
Agenda
- Get started with Dynamics 365 Finance
- Benefits of Dynamics 365 Finance
- Overview
- General ledger
- Cash and bank management
- Tax
- Accounts payable
- Accounts receivable
- Credit and collections
- Budgeting
- Fixed assets
- Cost accounting
- Electronic invoicing
- Configure currencies in Dynamics 365 Finance
- Set up currencies and conversions
- Configure and import currency exchange rates
- Create fiscal calendars, years, and periods in Dynamics 365 Finance
- Fiscal calendars, fiscal years, and periods
- Create fiscal calendars, years and periods
- Select a fiscal calendar
- Define budget cycle time spans
- Maintain periods for your organization
- Create date intervals
- Configure chart of accounts in Dynamics 365 Finance
- Plan your chart of accounts
- Multiple chart of accounts
- Set up chart of accounts
- Main account categories
- Main account information
- Allocation terms
- Main account validation options
- Main account closing options
- Financial tags
- Accounts for automatic transactions
- Define and configure financial dimensions
- Create a custom financial dimension
- Create an entity-backed financial dimension
- Activate and delete financial dimensions
- Default dimension values
- Derived dimensions
- Configure financial dimension templates and sets
- Define and configure account structures and advanced rules
- Ledger account aliases
- Set up ledgers and journals in Dynamics 365 Finance
- Understand the different types of journals and their setup
- Describe use cases for periodic journals
- Configure ledger and journal setup
- Discover options for implementing voucher numbers in journals
- Set up journal approvals
- Configure and use journals
- Reverse journal posting
- Set up batch transfer rules
- Perform general ledger daily procedures in Dynamics 365 Finance
- Using balance control accounts
- Process a journal entry
- Work with general ledger processes
- Ledger settlements
- Create templates to edit journals in Microsoft Excel
- Create voucher templates
- Set up journal controls
- Perform general ledger daily procedures in Dynamics 365 Finance
- Using balance control accounts
- Process a journal entry
- Work with general ledger processes
- Ledger settlements
- Create templates to edit journals in Microsoft Excel
- Create voucher templates
- Set up journal controls
- Intercompany accounting in Dynamics 365 Finance
- Set up intercompany accounting
- Post intercompany journals
- Trace an intercompany entry
- Configure ledger allocations and accruals in Dynamics 365 Finance
- Configure and apply accrual schemes
- Configure ledger allocation rules
- Configure and perform periodic processes in Dynamics 365 Finance
- Set up the Financial period workspace and closing schedule
- Bank reconciliations
- Year-end 1099 reporting
- Run foreign currency revaluation processes
- Process end of year close
- Perform financial consolidations
- Work with analytics and reporting in finance and operations apps
- Understand different types of reports and inquiries
- Financial reporting
- Find inquiries and reports
- Generate and consume inquiries and reports
- Configure finance and operations apps for Microsoft Power Platform
- Configure cash and bank management in Dynamics 365 Finance
- Understand bank transaction types and groups
- Set up cash and bank management parameters
- Set up the Single Euro Payments Area (SEPA) direct debit mandate
- Set up International Bank Account Number (IBAN) structures
- Configure banks and bank check layout
- Set up bank accounts for customers
- Set up bank accounts for vendors
- Deposit and refund checks
- Understand cash flow forecast and reports
- Configure cash flow forecasting
- Configure taxes in Dynamics 365 Finance
- Configure ledger posting groups
- Configure sales tax authorities
- Configure sales tax settlement periods
- Create sales tax codes
- Configure sales tax groups and item sales tax groups
- Withholding tax
- Sales tax exemption
- Conditional sales tax
- Sales tax on transactions
- Set up sales tax reporting codes
- Prepare periodic filings
- Check your knowledge
- Perform accounts receivable daily procedures in Dynamics 365 Finance
- Create free text invoices
- Recurring free text invoices
- Create and handle payments of customer invoices for sales orders
- Settle transactions and undo settlements
- Revenue recognition overview
- Define revenue schedules
- Define revenue prices
- Set up bundle items
- Set up credit and collections in Dynamics 365 Finance
- Set up accounts receivables for credit and collections
- Set up credit and collections components
- Set up interest rates for an interest code
- Waive, reinstate, or reverse interest fees
- Set up and manage collection letters
- Process credit and collections in Dynamics 365 Finance
- Customer account statement
- Working with collections
- Manage customer credit and collections
- Credit management
- Configure Accounts payable in Dynamics 365 Finance
- Configure the payment schedule
- Configure terms of payment and payment days
- Configure cash discounts
- Set up payment fees
- Create vendor groups
- Set up accounts payable posting profiles
- Create vendors
- Set up methods of payment for vendors
- Set up electronic payment formats
- Configure accounts payable charges
- Configure and use positive pay
- Perform Accounts payable daily procedures in Dynamics 365 Finance
- Understand invoice types in Accounts payable
- Incoming invoice payments
- Record vendor invoices
- Modify due dates and discount dates
- Work with cash discounts from vendors
- Create vendor payments
- Reverse a vendor payment
- Manage prepayments and prepayment invoices
- Work with accounting distributions, invoice validations and settlements in Dynamics 365 Finance
- Settle transactions and undo settlements
- Distribute funds by using accounting distributions
- Configure invoice validation policies
- Three-way matching policies
- Accounts payable invoice matching
- Invoice totals matching
- Two-way, price totals matching
- Two-way, net unit price matching
- Three-way matching
- Vendor invoice workflow
- Charges matching
- Get started with Expense management in Dynamics 365 Project Operations
- Plan expense management
- Intercompany expenses
- Financial management
- Per diems
- Journals and accounts
- Payment methods
- Taxes
- Policies
- Expense categories and shared categories
- Map expense categories to a main account
- Set up and configure Expense management in Dynamics 365 Project Operations
- Expense management workspace
- Expense management parameters
- Expense management workflows
- Expense report policies and per diem rules
- Evaluate policies by using Audit workbench cases
- Set up mileage expense options
- Intercompany expenses
- Personal expenses on an expense report
- Set up credit card transaction processing and import credit transactions
- Expense receipt processing
- VAT recovery
- Create and process expense reports in Dynamics 365 Project Operations
- Create an expense report
- Intercompany expenses
- Itemize expenses by line
- Distribute an expense
- Add guests
- Work with travel requisitions in Dynamics 365 Project Operations
- Create a travel requisition
- Exercise - Create a travel requisition
- Approve a travel requisition
- Create a cash advance
- Update a cash advance
- Configure and use basic budgeting and budget control in Dynamics 365 Finance
- Planning for basic budgeting and budget control
- Budgeting methodologies
- Basic budgeting overview
- Configure basic budgeting
- Use workspaces and inquiry pages to track budget vs. actuals
- Budget control overview
- Configure budget control
- Configure budget control (cont.)
- Create and manage budget register entries
- Use inquires and reports for budget analysis
- Implement a budget register workflow
- Configure fixed assets management in Dynamics 365 Finance
- Fixed assets and current assets
- Accounting for fixed assets
- Relationships between fixed assets components
- Configure fixed assets components
- Derived books
- Enable fixed asset integration
- Fixed asset transaction options
- Demonstration - Create a fixed asset
- Manage fixed assets in Dynamics 365 Finance
- Scenario - customer requirements for fixed assets
- Set up and create fixed assets
- Set up acquisitions
- Acquire assets through procurement
- Manual and automatic methods to create fixed assets
- Transfer a fixed asset
- Set up fixed asset groups
- Split a fixed asset
- Update fixed asset information
- Fixed assets roll forward report
- Depreciation
- Dispose and lend fixed assets
- Sell a fixed asset by using a free text invoice
- Dispose of fixed assets as scrap
- Estimate and eliminate a project to a fixed asset
- Asset budgeting
Zielgruppe
Voraussetzungen
Partner
Infos zur Zertifizierung
Termine
17.02.2025 (4 Tage)
Online
2795,00 EUR zzgl. 19% MwSt.
Online
2795,00 EUR zzgl. 19% MwSt.
12.05.2025 (4 Tage)
Online
2795,00 EUR zzgl. 19% MwSt.
Online
2795,00 EUR zzgl. 19% MwSt.
04.08.2025 (4 Tage)
Online
2795,00 EUR zzgl. 19% MwSt.
Online
2795,00 EUR zzgl. 19% MwSt.
03.11.2025 (4 Tage)
Online
2795,00 EUR zzgl. 19% MwSt.
Online
2795,00 EUR zzgl. 19% MwSt.
Ihr Ansprechpartner: Andreas Stammhammer
Standorte Braunschweig und Hannover
Gerne stehe ich Ihnen persönlich bei allen Fragen zur Verfügung!Telefon: 0531 70224942
E-Mail: a.stammhammer@kaemmer-consulting.de