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Course Description

Receivables Management in Microsoft Dynamics GP 2010

Course Code
80228
Schedule
begin-date     
7/18/2012 Sessions 1 Th 8:30AM  - 4:30PM South Bend/Mishawaka , Request Info
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Description:

The one-day Microsoft Dynamics GP Receivables Management course explores the accounting cycle and the processes required to enter invoices and receive payments from customers. This course shows you how to perform additional functions such as credit memos, prepayments, small balance write off, print customer statements, enter and void scheduled payments, and month-end closing procedures. You will also learn to set terms for calculating document discount dates and due dates, use balance forward and open-item statements, and apply any mix of the comprehensive service and finance charges available.
Audience Profile
This course is intended for anyone wanting to learn the basic features and to develop a working knowledge of the typical day-to-day procedures required to effectively use Microsoft Dynamics GP Receivables Management.
Receivables Management training is recommended for anyone who plans to implement, use, maintain, consult, or support Microsoft Dynamics GP. The class is targeted toward data entry clerks, administrators, office managers, and consultants who need to understand the technical aspects of Receivables Management and gain foundational knowledge of the application functionality.
At Course Completion
After completing this course, students will be able to:
•Perform all Receivables Management related data entry functions including customer invoicing, customer payment application and recurring invoices.
•Perform maintenance on Receivables Management documents and maintenance records such as customers, customer classes and scheduled payments.
•Apply payments and prepayments to customer balances or against specific invoices.
•Print standard reports for audit trail purposes, financial analysis and to verify data entry.
•Troubleshoot and correct input errors including an incorrect posting date or incorrect document amounts.
•Perform month-end procedures including aging customer documents, closing statement cycles and printing customer statements.

Syllabus:
Course Outline
Module 1: Overview and Setup Procedures
This module gives students a general overview of the features and benefits of using Receivables Management in an integrated environment. In addition it discusses setup procedures and examines in detail the options available to customize. It also focuses on the integration between Receivables Management and the General Ledger in Microsoft Dynamics GP.
Lessons
•Receivables Management Overview
•Setup Procedures
•Receivables Management Setup
•Receivables Setup Options
•Sales Territory Maintenance
•Salesperson Maintenance
•Customer Class Setup
•Customer Maintenance
•Customer Maintenance Options
•National Accounts Maintenance
•Refund Checks Setup
•Sales E-mail Setup
•Beginning Balances
After completing this module, students will be able to:
•Use the Setup windows to personalize Receivables Management for your business.
•Set up Receivables classes to group customers and set up default information.
•Configure the additional options available in Receivables Management.
•Set up and maintain salesperson records, sales territories, and customers.
•Create National Account relationships between parent and child customer IDs.
•Set up refund checks to be used in Microsoft Dynamics GP.
•Set up Receivables Management to e-mail documents.
•Enter a customer's beginning balances.
Module 2: Daily Procedures
This module explains the daily procedures performed in Receivables Management. It focuses on the entry of transactions such as invoices, cash receipts, and finance charges.
Lessons
•Transaction Entry Overview
•Receivables Batch Entry
•Receivables Transaction Entry
•Enter Receivables Scheduled Payments
•Enter Cash Receipts
•Apply Posted Transactions
•Enter Refund Checks
•Batch Recovery
After completing this module, students will be able to:
•Provide an overview of the transaction posting process.
•Create a Receivables batch.
•Process scheduled payments.
•Process refund checks.
•Enter cash receipts and apply cash receipts and credit memos.
•Apply posted receivables transactions to one another.
•Recover from batch posting interruptions.
•Enter different types of Receivables transactions. Print the edit lists and post transactions.
 Module 3: Maintaining Records
This module focuses on the process of maintaining records in Receivables Management. It helps you learn how to manage and view your receivables data.
Lessons

•NSF Checks, Voiding, and Waiving Posted Transactions
•Change and Delete Records
•Edit Receivables Transactions
•Remove History
•Reconcile
•Perform an Inquiry
•Reports
After completing this module, students will be able to:
•Process NSF checks
•Void a posted receivable transaction
•Waive a finance charge
•Delete customers, addresses, salespersons, and sales territories
•Edit posted transactions
•Remove historical transactions
•Create and output receivables reports
Module 4: Period-end Processing
This module explains the procedures performed at the end of fiscal periods in Receivables Management.
 Lessons
•Period-End Procedures Overview
•Aging Process
•Finance Charges
•Print Statements
•Reprint Statements
•Paid Sales Transaction Removal
•Other Period-End Procedures
•Reconcile Receivables to General Ledger
•Year-end Routines
After completing this module, students will be able to:
•Use the procedures needed at the end of a fiscal period.
•Age open Receivables into the proper aging periods.
•Assess a finance charge to a Receivables document.
•Print Receivables statements for customers.
•Transfer paid sales transactions to history.
•Transfer sales commissions.
•Write off documents in receivables.
•Reconcile Receivables to General Ledger.
•Perform year-end procedures, including Fiscal and Calendar Year-End Processing.