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General Ledger in Microsoft Dynamics SL 7.0 |
Course 8830: One day; Instructor-LedOn This Page
IntroductionIntroduction This one-day course explores the Microsoft Dynamics SL General Ledger and the accounting cycle and the processes required to enter financial data into the system. This course also shows students how to perform additional functions such as account/subaccount validation, budgeting, allocation, month-end closing, and consolidation. A thorough understanding of these topics helps students streamline monthly and year-end closing processes by learning how to automate routine activities such as account allocations and reports. Students discuss how to accelerate data entry with transaction batch options while reducing data entry errors by defining valid account and sub-account combinations. This course reviews how to define default values that automatically populate data fields and gather the information you need to make better business decisions by exploring powerful inquiry and lookup functions. AudienceGeneral Ledger training is recommended for anyone who plans to implement, use, maintain, consult, or support Microsoft Dynamics SL. The course is targeted toward data entry clerks, administrators, office managers, CEOs, and consultants who need to understand the technical aspects of General Ledger and gain foundational knowledge of the application functionality. At Course CompletionCourse completion objectives are:
PrerequisitesBefore attending this course, students must have:
Microsoft Certified Professional ExamsNo Microsoft Certified Professional exams are associated with this course currently. Course MaterialsThe Courseware includes a comprehensive workbook and Basic Procedure Guide. Course OutlineChapter 1: Overview This overview chapter introduces the General Ledger module of the Microsoft Dynamics SL product and training course, and the windows and processes that are used to complete the accounting cycle in the General Ledger. It is important to note that this chapter is optional and can be skipped at the instructor's discretion if the instructor feels that each student's background provides sufficient experience in these topic areas. Main Topics
The goals for completing this chapter are for students to:
Chapter 2: Active Overview This chapter examines the core processes used in the General Ledger module. The chapter introduces each step in the accounting cycle, briefly discusses its purpose, and primary features, and focuses on its function in the accounting cycle. It is not intended to provide a detailed primer on each of these topics. This chapter is optional and can be skipped at the instructor's discretion if the instructor feels that each student's background provides sufficient experience in these topic areas. Main Topics
The goals for completing this chapter are for students to:
Chapter 3: Maintaining Accounts and Subaccounts This chapter examines the setup of accounts and subaccounts. The chapter describes the information required for accounts, discusses the FlexKey feature for subaccounts, and defines accounts and subaccounts in the system. The FlexKey feature has different levels of validation and these are discussed in detail. Main Topics
Lab 3.1 Create New Account
Lab 3.2 Create New SubAccount
The goals for completing this chapter are for students to:
Chapter 4: Journal Transaction Features This chapter discusses the concept of batch entry and the fields and features of the Journal Transaction window. The chapter examines the types of batches that can be entered in the Journal Transaction screen and the processes required to update account balances. Students will be shown how to execute reports to verify information entered. Main Topics
Lab 4.1 Journal Transaction Entry
Lab 4.2 Journal Transaction Entry
Lab 4.3 Journal Transaction Entry
The goals for completing this chapter are for students to:
Chapter 5: Releasing Batches This chapter examines the options for releasing batches. The chapter reviews the two methods available for releasing batches; using the data entry window, or the Batch Release Process. The chapter then discusses automatic batch control reports, the option to print them automatically, and how to re-print them. Main Topics
Lab 5.1 Release Batches
The goals for completing this chapter are for students to:
Chapter 6: Posting Transactions This chapter examines the Post Transactions process and its role in the accounting cycle. Processes used thus far and updating account balances is also discussed. The chapter reviews audit trail reports and the role the posting process has in updating these reports. Main Topics
Lab 6.1 Post Transactions
The goals for completing this chapter are for students to:
Chapter 7: Account Inquiry The objective of this chapter is to examine the series of windows available for viewing account balances and drilling down to the transaction details. The Inquiry windows allow the viewing of account balances and comparing them to budgets without having to print financial statements or reports. It also reviews balances and drilling down to the details of the transactions. Main Topics
Lab 7.1 View General Ledger Account Details
Lab 7.2 View Details from a Submodule
The goals for completing this chapter are for students to:
Chapter 8: Manual and Recurring Batches This chapter discusses the use of manual and recurring batch types to make repetitive journal entries efficient. It also explores the difference between the two types of batches and the particular situations in which each should be used. Main Topics
Lab 8.1 Recurring Batch
Lab 8.2 Manual Batch
The goals for completing this chapter are for students to:
Chapter 9: Ledger Maintenance This chapter explains how to use ledgers to track multiple budgets and statistics for accounts, enter transactions for the statistical ledgers, demonstrates how to use them in calculations in financial reports, and describes printing standard reports for particular ledgers. Main Topics
Lab 9.1 Ledger Maintenance
Lab 9.2 Ledger Transactions
The goals for completing this chapter are for students to:
Chapter 10: Budgets This chapter explains how to create simple budgets for reporting purposes and use the extended budgeting feature to create custom distribution types: 1) for seasonal work or 2) based on prior year actual or budget amounts. Main Topics
Lab 10.1 Budget Maintenance
Lab 10.2 Extended Budget
The goals for completing this chapter are for students to:
Chapter 11: Allocation Journal Transactions The objective of this chapter is to introduce the various ways that account balances can be allocated. Studentsl complete examples and exercises using percentage allocation methods as well as allocations based on other balances, budgets, or statistics stored in ledgers. Main Topics
Lab 11.1 Allocation Group
Lab 11.2 Allocation with Budgets
Lab 11.3 Allocation Based on Actuals with Contra Accounts
The goals for completing this chapter are for students to:
Chapter 12: Month End Procedures and Closing This chapter describes how to create a closing checklist to ensure all transactions and activities have been completed for the accounting period, produce appropriate audit trail reports, correct an out of balance condition, and close only the General Ledger or all modules for the period. The chapter also examines the detail retention and deletion options. Main Topics
The goals for completing this chapter are for students to:
Chapter 13: General Ledger Consolidation This chapter discusses the consolidation process. Students explore taking information from different databases with similar and differing periods, calendar years, chart of account structures, and creating a consolidated set of data for reporting purposes. Main Topics
The goals for completing this chapter are for students to:
Appendix A: General Ledger Setup Understand the defaults and user options defined in the General Ledger Setup window. Even though these options are typically not changed after the product is implemented, students review default values and processes through the settings in this screen. Main Topics
The goals for completing this chapter are for students to:
Appendix B: Case Study This appendix includes a case study of General Ledger. The case study allows students to practice what has been leaned learned in a comprehensive exercise. The case study is organized such that each task builds on the previous task. Based on country-specific needs, this chapter is optional for classroom presentation. Main Topics
The goals for completing this chapter are for students to:
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