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Published byArnim Hertz Modified over 6 years ago
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Dynamics GP 2018 – General Ledger and Bank Reconciliation
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Dynamics GP Financial Suite Modules
General Ledger Bank Reconciliation (and Electronic Bank Rec) Fixed Assets Management Budget Management Inter-fund Management Financial Reporting Start here
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Module Data Flow
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Setup – General Ledger
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Setup – Bank Reconciliation
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Setup - Checkbook Maintenance
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Document Attachment in General Ledger Entry
New Features Document Attachment in ribbon Available in these inquiry windows Journal Entry Inquiry Transaction Entry zoom Should we do Quick Journals
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Add Document Attachment to Asset General Information window
New Features Added Document attachment to Fixed Assets in General Information window Added to Asset Inquiry window too Start here
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Bank Reconciliation additional sorting options New Features
Within the Bank Reconciliation window the user will have more options to sort the window so it is easier to find transactions during the reconciliation process. Start here
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Bank Reconciliation maximize window – Web Client New Features
Within the WC when add the ability to maximize the Bank Reconciliation window so the user doing a reconcile can see more transactions within the window. Reduces the amount of scrolling needed to find transactions. Start here
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New Features Add EFT/Bank details to Vendor approval workflow
Additional fields available for Vendor workflow in Workflow Condition Editor Included in Extended Fields Vendor EFT Bank fields from SY0600 – Electronic Funds Transfer Master Add the fields to the Vendor Approval Workflow message Start here
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Add Bank Rec history table and do transaction history removal
New Features Moves reconciled transactions to Bank Reconciliation history tables. The process also removes any moved or reconciled transactions. Start here
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GL Account Workflow New Features New Workflow for GL Account
message for GL Account Start here
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Newer Features Reconcile to GL
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Year-End Module Closing Order
Purchase Order Processing Inventory Receivables Payables Fixed Assets Payroll General Ledger Start here
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Fiscal Year-End Process Checklist
Finalize any/all applicable transactions Reconcile submodules to G/L Print necessary reports & file Make a backup when finished Begin closing process Start here
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Details of GL Year-End Process
General Ledger (GL) ALWAYS the final module to be closed!!! Doesn’t need to be closed immediately Finalize adjustments; post ‘Single Use’ batches Print Detailed T/B & MR financials (optional) Double-check ‘Posting to History’ setting Setup>Financial>General Ledger Allows posting to most-recent closed fiscal year only Also check ‘Maintain History’ & R/E acct. while here Run the G/L year-end closing process Routines>Financial>Year-end Closing Click ‘Close Year’ button once Start here
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