Dear Friends,
Today we will learn about general ledger entries. The general ledger entries display transactions done and if a G/L Account is involved, the transaction will be recorded in the general ledger entries.
To access General Ledger Entry go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger --> General Ledger Entries.
Hello Viewers, This is a platform which will enable you to learn Microsoft Dynamics Nav Business Central. All data and figures posted on the blog are fictitious and not real. Note that only standard Navision processes will be posted
Wednesday, April 15, 2020
Run Standard Detail Trial Balance and Trial Balance on Microsoft Dynamics Nav Business Central
Hello viewers,
Accounting people always use the trial balance and detail trail balance to check their G/L account transaction. Today we will learn how to run the report.
Go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger
1. Detail Trail Balance
2. Trail Balance
Enter the filter to run the report.
Accounting people always use the trial balance and detail trail balance to check their G/L account transaction. Today we will learn how to run the report.
Go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger
1. Detail Trail Balance
You can filter the report by the following field.
No. | You can run the trial balance by G/L number |
Search Name | You can run the trial balance by search name |
Income/Balance | You can run the trial balance by income statement or balance sheet |
Debit/Credit | You can run the trial balance by Debit or Credit Account |
Date Filter | You can run the trial balance by date filer |
No | You can run the report by G/L Account No |
Account Type | You can run the report by Account Type |
Date Filter | You can run the report by Date Filter |
Creation of Fixed Asset Posting Group on Microsoft Dynamics Nav Business Central
Dear Friends,
Today we will learn how to setup FA posting group. This setup is very important for acquisition and depreciation of fixed asset.
Step 1:
To proceed with the setup go on the following menu:
Main Menu --> Department --> Financial Management --> Setup --> FA Posting Group.
Step 2:
Click on the button New and Fill the following information
Today we will learn how to setup FA posting group. This setup is very important for acquisition and depreciation of fixed asset.
Step 1:
To proceed with the setup go on the following menu:
Main Menu --> Department --> Financial Management --> Setup --> FA Posting Group.
Step 2:
Click on the button New and Fill the following information
Code | Enter a code for the posting group |
Acquisition Cost Account | Enter the Acquisition G/L Account |
Accum. Depreciation Account | Enter the Accumulated Deprecation G/L Account |
Write-Down Account | Enter the write down G/L Account |
Appreciation Account | Enter the Appreciation G/L Account |
Custom 1 Account | |
Custom 2 Account | |
Maintenance Expense Account | |
Acq. Cost Acc. on Disposal | Enter the acquisition cost G/L Account on disposal |
Accm. Depr. Acc. on Disposal | Enter the depreciation G/L Account on disposal |
Write-Down Acc. on Disposal | Enter the write down G/L Account on disposal |
Appreciation Acc. on Disposal | Enter the appreciation G/L Account on disposal |
Custom 1 Account on Disposal | |
Custom 2 Account on Disposal | |
Gains Acc. on Disposal | Enter the gain G/L Account on disposal |
losses Acc. on Disposal | Enter the losses G/L Account on disposal |
Step 3:
Enter the Balancing account.
Fill all the necessary information.
Acquisition Cost Bal. Acc | Enter the acquistion cost balance G/L account |
Depreciation Expense Acc | Enter the Depreciation G/L expense account |
Write-Down Expense Acc | Enter the write down G/L expense account |
Appreciation Bal. Account | Appreciation G/L balance account |
Custom 1 Expense Acc | |
Custom 2 Expense Acc | |
Sales Bal Acc | Enter the sale balance G/L Account |
Maintenance Bal. Acc | Enter the Maintenance Balance G/L Account |
Write-Down Bal. Acc on Disp | Enter the write down Balance G/L Account on disposal |
Apprec. Bal Acc. Disp | Enter the balance G/L Account on disposal |
Custom 1 Bal. Acc on disposal | |
Custom 2 Bal. Acc on disposal |
Create a trial balance by account schedule on Microsoft Dynamics Nav Business Central
Hello Friends,
Today we will learn how to create a trial balance on account schedule. This tool permits us to create our customized report.
Step 1:
To create an account schedule, go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger --> Account Schedule.
Step 3:
To add a column click on the drop down of the field Default Column
Click on OK
Step 5:
To test the account schedule go on the main page and click on overview.
Today we will learn how to create a trial balance on account schedule. This tool permits us to create our customized report.
Step 1:
To create an account schedule, go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger --> Account Schedule.
Step 2:
Click on the button New and fill the following information.
Name | Enter a name for the account schedule |
Description | Enter a description for the account schedule |
Default Column | Need to create columns |
Analysis View Name | If you want to associate a analysis view with the account schedule |
Step 3:
To add a column click on the drop down of the field Default Column
The following page will open.
fill the following information:
Name | Enter a name |
Description | Enter a description |
Analysis View Name | If there is analysis view that need to be linked |
Step 4:
Click on Edit Column Layout setup and fill the following information.
Column No | Add a column no |
Column Header | Enter the name of the column header |
Column Type | Enter type of the column |
Ledger Entry Type | Enter entries in ledger entry type |
Amount Type | Enter the type of the amount |
Formula | Enter formula if any |
Show opposite sign | If you want to show opposite sign in amount |
Comparison date formula | Let it blank |
Show | Enter always if you want the field to be display |
Rounding Factor | Enter the rounding factor |
Click on OK
Step 5:
To test the account schedule go on the main page and click on overview.
After clicking on overview, the report will appear.
Tuesday, April 14, 2020
General Journal on Microsoft Dynamics Nav Business Central
Hello Friends,
Today's tutorial is about doing a journal. The aim of doing journal is to make adjustment in the system. On Microsoft Dynamics Nav Business Central, you can do a journal in different way and you can do it as follows.
1. G/L Account to G/L Account
2. Vendor to G/L Account
3. Customer to G/L Account
4. Bank Account to Bank Account
5. Vendor to Bank Account
6. Customer to Bank Account
7. G/L Account to Bank Account
Step 1:
To open the journal, go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger --> General Journal.
Step 2:
Fill all the necessary information.
Step 3:
After entering all the date click on the button POST to validate the date and post it to the correct G/L account.
Click on OK to close
Today's tutorial is about doing a journal. The aim of doing journal is to make adjustment in the system. On Microsoft Dynamics Nav Business Central, you can do a journal in different way and you can do it as follows.
1. G/L Account to G/L Account
2. Vendor to G/L Account
3. Customer to G/L Account
4. Bank Account to Bank Account
5. Vendor to Bank Account
6. Customer to Bank Account
7. G/L Account to Bank Account
Step 1:
To open the journal, go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger --> General Journal.
Fill all the necessary information.
Batch Name | Choose the Batch Name |
Line No | The line no will display automatically |
Posting Date | Enter the date of the transaction |
Document Type | Enter the document type of the transaction |
Document No | Document no will be display automatically if no of series has been setup |
Account Type | Enter the account Type for the debited amount |
Account No | Enter the account No for the debited amount |
Account Name | Upon Choosing the account no, the name of the account will display automatically |
Description | Enter a description for the transaction |
Amount | Enter the amount (if amount to be credited then negative amount else if amount to be debited then amount is positive) |
Amount (LCY) | If foreign currency has been used, the amount will be converted to local currency here |
Bal. Account Type | Enter the destination account type (Account to be credited) |
Bal. Account No | Enter the destination account no (Account to be credited) |
Deferral Code | Enter a deferral code if you need to use |
External Document No | Add an external document no |
Currency Code | enter the currency code you are using. |
Step 3:
After entering all the date click on the button POST to validate the date and post it to the correct G/L account.
Click on OK to close
Creation of G/L Budget on Microsoft Dynamics Nav Business Central
Dear Friends,
In this tutorial we will learn how to create a budget for a G/L Account. Budgeting is done when a specific amount is assigned to a specific G/L account in order to have a better control when the amount is being credited or debited.
Step 1:
To create a budget click go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger --> G/L Budgets
Step 3:
Click on the button Edit Budget and add the following information
Click on OK to close.
In this tutorial we will learn how to create a budget for a G/L Account. Budgeting is done when a specific amount is assigned to a specific G/L account in order to have a better control when the amount is being credited or debited.
Step 1:
To create a budget click go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger --> G/L Budgets
Step 2:
Click on the button New and fill the following information
Name | Enter the name of the budget |
Description | Give a description for the button |
Global Dimension 1 Code | Global Dimension 1 will display automatically |
Global Dimension 2 Code | Global Dimension 2 will display automatically |
Budget Dimension 1 Code | If you want to put another dimension |
Budget Dimension 2 Code | If you want to put another dimension |
Budget Dimension 3 Code | If you want to put another dimension |
Budget Dimension 4 Code | If you want to put another dimension |
Blocked | If the budget is not longer in use |
Step 3:
Click on the button Edit Budget and add the following information
General
| |
Budget Name | The Budget name will appear automatically |
Show as Lines | Let it be G/L Account |
Show as Column | Let it be period |
View By | The frequency you want to see, here we have chosen month |
Rounding Factor | If you have any rounding factor |
Show column Name | Instead of month and year, you can display the name of the month completely |
Budget Matrix
| |
Budget Amount | This will represent the total amount of all the amount from months |
Month (JAN 2020, FEB 2020) | You will need to enter the amount budget for the specific G/L |
Filters
| |
Date Filter | If you want to filter by a specific date |
G/L Account Filter | If you want to filter per G/L Account |
G/L Account Category Filter | If you want to filter by Account Category |
Income/Balance G/L Account Filter | If you want to filter by Income statement or Balance sheet |
Global Dimension 1 Code | Choose a global dimension if you need |
Global Dimension 2 Code | Choose a global dimension if you need |
Budget Dimension 1 Code | Upon creating the budget if you have enter budget dimension it will appear here automatically |
Budget Dimension 2 Code | Upon creating the budget if you have enter budget dimension it will appear here automatically |
Budget Dimension 3 Code | Upon creating the budget if you have enter budget dimension it will appear here automatically |
Budget Dimension 4 Code | Upon creating the budget if you have enter budget dimension it will appear here automatically |
Click on OK to close.
Creation of G/L Account on Microsoft Dynamics Nav Business Central
Hello Friends,
In this tutorial, we will learn how to create a G/L account on business central. A general ledger account is used to debit and credit amount while a list G/L Account is know as a chart of account.
Step 1:
To create a G/L Account go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger --> Chart of account.
Click on OK to close.
In this tutorial, we will learn how to create a G/L account on business central. A general ledger account is used to debit and credit amount while a list G/L Account is know as a chart of account.
Step 1:
To create a G/L Account go on the following menu:
Main Menu --> Department --> Financial Management --> General Ledger --> Chart of account.
Step 2:
Click on the button New and fill the required information
General
| |
No | Enter the number of the G/L Account |
Name | Enter the name of the G/L Account |
Name 2 | If the name is long, split the name and enter the second part here |
Vendor Name | If the G/L account is linked with a vendor enter the vendor name |
Bank Account No | If the G/L account is linked with a bank account no enter the account no |
Income/Balance | Precise whether the account is an income statement or a balance sheet |
Account Category | Select an account category |
Account Subcategory | Select an account subcategory |
Debit/Credit | Always enter both |
Account Type | Select an account type |
Totaling | When you will indent the chart of account the totaling field will be populated automatically |
Search Name | If you want to enter a search name for the G/L account |
Direct Posting | If this field is checked, mean you can post transaction in the G/L Account |
Blocked | If the G/L account is no longer in use, you can blocked it so that it will not appear in trial balance |
Posting
| |
Gen. Posting Type | Enter a General Posting Type |
Gen. Bus. Posting Group | Enter a General Business Posting Group |
Gen. Prod Posting Group | Enter a General Product Posting Group |
VAT. Bus. Posting Group | If the G/L Account is taxable enter the VAT Business Posting Group |
VAT. Prod. Posting Group | If the G/L Account is taxable enter the VAT Product Posting Group |
Consolidation
| |
Consol. Debit Acc. | If consolidation need to be done, enter the Debit Account |
Consol. Credit Acc. | If consolidation need to be done, enter the Credit Account |
Click on OK to close.
Sunday, April 12, 2020
Creation of Inventory Posting Setup on Microsoft Dynamics Nav Business Central
Dear Friends,
Today in our tutorial we will learn how to setup inventory posting. This setup determines the inventory account in the general ledger to which the program posts for transactions involving this item (any transaction related to Item Inventory).
Step 1:
To do the setup go on the following menu:
Main Menu --> Department --> Financial Management --> Setup --> Inventory Posting Setup
Today in our tutorial we will learn how to setup inventory posting. This setup determines the inventory account in the general ledger to which the program posts for transactions involving this item (any transaction related to Item Inventory).
Step 1:
To do the setup go on the following menu:
Main Menu --> Department --> Financial Management --> Setup --> Inventory Posting Setup
Step 2:
Click on the button New and fill the required information.
Location Code | Enter the location |
Inv. Posting Group Code | Enter the inventory posting group |
Description | Enter a description |
Inventory Account | Enter the inventory G/L account |
Inventory Account (interim) | If you want to use an interim account during good receive enter the G/L Account here |
WIP Account | In case you are you work in progress, enter the work in progress G/L Account |
Material Variance Account | Enter the Material Variance G/L Account |
Capacity Variance Account | Enter the Capacity Variance G/L Account |
Mfg. Overhead Variance Account | Enter the Manufacturing Overhead Variance G/L Account |
Cap. Overhead Variance Account | Enter the Capacity Overhead Variance G/L Account |
Subcontracted Variance Account | Enter the subcontracted variance G/L Account |
Thursday, April 9, 2020
Creation of Inventory Posting Group on Microsoft Dynamics Nav Business Central
Hello friends,
Today we will learn how to create an inventory posting group.
Step 1:
To proceed with the creation go on the following menu:
Main Menu --> Department --> Financial Management --> Setup --> Inventory Posting Group.
Today we will learn how to create an inventory posting group.
Step 1:
To proceed with the creation go on the following menu:
Main Menu --> Department --> Financial Management --> Setup --> Inventory Posting Group.
Step 2:
Click on the button New and fill the following information.
Code | Enter a code for the posting group |
Description | Enter a description |
Click on OK to close
Creation of Bank Account Posting Group on Microsoft Dynamics Nav Business Central
Dear Friends,
In this tutirial we will learn how to create a bank account posting group. This setup is a link between a bank account and a G/L Account.
Step 1:
To create the posting group go on the following menu:
Main Menu --> Department --> Financial Management --> Setup --> Bank Account Posting Group.
In this tutirial we will learn how to create a bank account posting group. This setup is a link between a bank account and a G/L Account.
Step 1:
To create the posting group go on the following menu:
Main Menu --> Department --> Financial Management --> Setup --> Bank Account Posting Group.
Step 2:
Click on the button New and fill the information.
Code | Enter a code to the posting group |
G/L Account No. | Enter the G/L Account correspond to the posting group |
Click on OK to close.
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