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Microsoft Dynamics AX 2012 R3 Financial Management

You're reading from   Microsoft Dynamics AX 2012 R3 Financial Management Boost your accounting and financial skills with Microsoft Dynamics AX 2012 R3

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Product type Paperback
Published in Feb 2015
Publisher Packt
ISBN-13 9781784390983
Length 352 pages
Edition 1st Edition
Languages
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Author (1):
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Mohamed Aamer Ala El Din (USD) Mohamed Aamer Ala El Din (USD)
Author Profile Icon Mohamed Aamer Ala El Din (USD)
Mohamed Aamer Ala El Din (USD)
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Table of Contents (12) Chapters Close

Preface 1. Getting Started with Microsoft Dynamics AX 2012 FREE CHAPTER 2. Understanding the General Ledger 3. Understanding Cash and Bank Management 4. Understanding Accounts Payable 5. Understanding Accounts Receivable 6. Exploring Fixed Assets 7. Functioning of Cash Flow Management 8. Working with Cost Management 9. Exploring Financial Dimensions 10. Exploring Financial Reporting and Analysis Index

Exploring cash and bank management in action

The following section will explore cash and bank management in daily transactions. It will focus on bank account reconciliation, which is a key process to ensure that all recorded transactions match the bank statement; and the bank facility will focus on the letter of guarantee.

Bank account reconciliation

Bank account reconciliation is a validation process of the bank's account statement, and recorded transactions in the cash and bank management module through customer deposits and vendor payments.

There are two reconciliation mechanisms that you can apply for each bank account: the first one is the manual reconciliation mechanism, and the second one is newly introduced in Microsoft Dynamics AX 2012 R2, the automatic import of bank statements. You have to navigate to Cash and bank management | Common | Bank accounts | Select bank account. In the Bank account ribbon, click on Account reconciliation, as shown in the following screenshot:

Bank account reconciliation

The...

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