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Understanding Bank Reconciliations in Business Central

February 13 @ 1:00 pm - 2:00 pm EST
Event Category:

COURSE DESCRIPTION:

Bank reconciliations are crucial for businesses to keep control of their cash balances. Over the last few years, Microsoft has changed the way bank reconciliations work within Business Central.  During this session, we’ll discuss how reconciliations work and how to import bank data into them.

 

LEARNING OBJECTIVES:

  • –  Understand the bank reconciliation process in Business Central.
  • –  Understand the changes to the bank reconciliation process introduced by Microsoft.
  • –  Learn how to set up the data definitions needed to import bank statement detail into the reconciliation.
Level Intermediate
NASBA (Field of Study) Taxes
CAE (Subject Domain) Operations
Prerequisites and advance preparation needed 1 years operations experience. No advance preparation required
Reviewer Wade Tetsuka, CPA
CPE/CAE Credits 1.0
Cost Free
Delivery Group Internet Based
Course ID M348

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INSTRUCTORS
Dave Wiser
President and Lead Consultant, Dynamics Northwest LLC
With over 25 years as a Controller and Consultant, Dave is a proven Dynamics BC|NAV and business professional with broad experience in the planning, architecture,…