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Many users have already taken advantage of the NAV Finance Series which offers classes all year in 2017! Students have already participated in classes on Financial Setups, Posting Groups and Dimensions, and Financial Reporting Using Account Schedules. Never fear – there are still plenty of chances to hone your learning in the next five offered courses and a repeat on the popular Account Schedules course is also being offered later in the year.
All classes are conducted remotely, allowing attendees to get training from the comfort of their own office without the need to travel. Every four-hour class utilizes a Dynamics NAV environment which allows every student to get hands on right away inside the application during class to immediately apply the concepts learned in class.
The complete class descriptions are shown here. There are still a few openings in the remaining classes and you can use the links below to register! See you there!
Consolidations in NAV – June 28th – Confidence in your consolidation setup and processes is essential for your financial reporting. We’ll walk through the setup and processing of multiple companies as well some common, and not so common challenges with consolidations, and the related solutions. Register for this class at this link!
Multi-Currency in NAV – July 26th – Companies are doing business all across the world and need the flexibility to process in multiple currencies. In this class, we’ll walk through setting up multiple currencies, processing payables, receivables and even how to look at your financials in a second currency. Register for this class at this link!
Financial Data Migration Using Journal Entries in NAV – August 24th – Did you know you can populate opening entries for the accounts payable aging, accounts receivable aging, inventory valuation, fixed assets, trial balance, and even outstanding checks simply using journal entries? Even if you are well past your initial implementation, you can go back to populate financial history to be used for longer term financial reporting. DIY is in your future! Attend this class to get the step by step instructions on how to populate these important financial data elements on your own Register for this class at this link!
**POPULAR CLASS REPEAT** Financial Reporting Using Account Schedules in NAV – November 30th – Microsoft Dynamics NAV account schedules are a powerful tool used to create custom financial statements directly from your general ledger. In this in-depth training session, you will learn the fundamental principles of account schedule construction. Using hands-on exercises, you will have the opportunity to apply what you learn during class to a basic trial balance and master three basic account schedule building blocks: row setups, column layouts, and analysis views. You’ll discover how to filter your financial reporting by dimensions, layer in budgeted information, and produce reports by exporting to Excel! Register for this class at this link!
Month End, Year End and Budgeting in NAV – December 20th – Here’s your chance for a review of best practices for month end, year-end, and budgeting in Microsoft Dynamics NAV. This class will go through best practices for each of these three important year-end activities. Take a moment to refresh your memory on how to do some of these tasks that we often touch only once a year and pick up some new tips for making these processes go smoothly along the way. Register for this class at this link!