803872 - Dynamics 365 - AX Financials Boot Camp (5 Days) - Exam MB6-893

Code: 803872
Course duration: 5 days
Price:

Course 803872

Dynamics 365 - AX Financials Boot Camp

Course Description

This five-day, Hands on Labs, instructor-led course is intended for those who are Partners, customers, and other end users, operational users of the financial modules in Microsoft Dynamics AX or are preparing for the

MB6-893 Microsoft Dynamics 365 (AX) Financials exam.

Course Outline

An comprehensive to Dynamics 365 Financials

Module 1: Set up and Configure the Finance Modules

Lessons

Define and format the General Ledger module

  • Fiscal Calendars, Years, and Periods; create and define financial dimensions and financial dimension sets; create period allocations; set up journals; define the General Ledger parameters

Format the Cash and Bank Management module

  • Define bank transaction types and transaction groups; set up bank groups, create bank accounts, define the Cash and Bank Management parameters

Understand the Accounts Receivable module

  • Define customer posting profiles, set up Customer Payment information, create customers, define the Accounts Receivable parameters, define an organizational structure for centralized payments

Define the Accounts Payable module

  • Define vendor posting profiles, set up vendor payment information, define invoice matching; create vendors, set up vendor 1099 information, define the account payable parameters; define an organizational structure for centralized payments

Set up and configure the Fixed Assets module

  • Define depreciation methods and conventions, set up depreciation profiles and books, set up value models, define Fixed Asset parameters, create fixed assets, set up and assign bar codes to assets, lend fixed assets

Module 2: Set up, configure, and process sales tax

Lessons

Define sales tax setup procedures

  • Define ledger posting groups, create sales tax codes, create sales and item tax groups, define sales tax authorities, define withholding tax

Understand sales tax transactions

  • Revise sales tax prior to posting a transaction, post sales tax on prepayments, create transactions with conditional sales tax

Module 3: Set up basic budgeting and budget planning

Lessons

Understand budgeting concepts and types

  • Define budget concepts, discuss different budget types

Set up and configure the Budgeting module

  • Define and set up the different budget configurations, define the budget parameters

Define and generate budget plans

  • Define budget planning configuration, create budget plans, process budget plans, modify budget plans in Excel

Module 4 Create Budget Register entries

Lessons

Process Budget Register entries

  • Transfer budget balances, define budget allocations, update Budget Register entries in Excel

Process Register entries from budget plans

  • Create Budget Register entries from budget plans

Module 5 Manage Financial daily procedures

Lessons

Review and process General Ledger daily procedures

  • Create voucher templates, process periodic journals, process period allocations, create and process accrual schemes, reverse a transaction, create reversing entries

Process and understand Cash and Bank Management daily procedures

  • Create and delete checks, void a check and create payment reversals, create and cancel deposit slips, reconcile bank accounts

Create and process Accounts Receivable daily procedures

  • Create free text invoices, process prepayments, create payment journals, reverse settlements, reimburse a customer

Review and process Accounts Payable daily procedures

  • Define and create different types of invoice journals, manage vendor invoices, process prepayments, create payment journals

Review and process Fixed Asset daily procedures

  • Define transaction types available, process acquisitions through the General Ledger and Purchasing modules, process depreciations, process disposals, process value adjustments

Module 6: Set up and use Collections Management and Consolidations

Lessons

Configure Collections settings

  • Set up and process collection letters, set up and calculate interest, process interest adjustments, set up customer pools and aging period definitions

Manage Collections information

  • Review aging snapshots, process customer statements, create write-off transactions, add activities to transactions through the Collections screen

Define Consolidations settings

  • Set up and define a consolidation company, add consolidation information to main accounts

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