logo skoleni-kurzy

FINANCE IN MICROSOFT DYNAMICS NAV 2009 MOC80041


skoleni-kurzy.eu




Podrobné hledání kurzů, školení a rekvalifikací



skoleni-kurzy.eu

[skoleni-kurzy.eu] Zde najdete různé kurzy, školení, semináře a rekvalifikační kurzy z různých oborů.

Nenašli jste kurz, školení a/nebo seminář?

Pošlete nám nezávaznou poptávku po kurzu a my se ho pokusíme najít a pošleme Vám kontakt na vzdělávací firmu a/nebo Vaši poptávku kurzu zveřejníme v seznamu poptávek.

Registrace školící firmy

Jste školící firma, vzdělávací instituce a/nebo pořádáte školení, kurzy, rekvalifikační semináře? Zaregistrujte svoji firmu na serveru a zvyšte počet svých klientů.
 

Náhodný kurz/školení


Zákon proti praní špinavých peněz a financování terorismu (AML zákon) včetně připravované evropské AML legislativy - Agentura BOVA - RNDr. Ivana Hexnerová


^

 

 

FINANCE IN MICROSOFT DYNAMICS NAV 2009 MOC80041

Viz také následující kurzy :
  • SharePoint - základy pro efektivní spolupráciSharePoint - Navigating for Effective CollaborationPodrobnosti
  • Finanční analýza v praxiFinancial Management for ManagersPodrobnosti
  • Controlling s vazbou na finanční analýzu a nákladyControlling with a link to financial analysis and costPodrobnosti
  • Microsoft Project - pro pokročiléMS Project - For Advanced UsersPodrobnosti
  • Finanční analýza - krok po kroku až k souhrnným analýzámFinancial Analysis - Step by Step to Comprehensive AnalyzesPodrobnosti


Kurz - Finance in Microsoft Dynamics NAV 2009 (MOC80041) - s certifikátem

Tento vzdělávací kurz/seminář již proběhl - Původní program vzdělávacího kurzu
Tento kurz již byl smazán


Tento kurz pořádala firma: © PC-DIR Real, s.r.o. - Brno
 



Další podobné školení nebo kurzy:
  • Podobný kurz     Plzeň 2-Slovany - Plzeňský  
    (??)   Studium pedagogiky podle § 22, odst. 1, písm. a] zákona č. 563/2004 Sb. # pro učitele - AM Solvo

    - ... cena: 13.000 Kč/kurz

  • Podobný kurz     České Budějovice - Jihočeský  
    (??)   Studium pedagogiky podle § 22, odst. 1, písm. a] zákona č. 563/2004 Sb. # pro učitele - AM Solvo

    - ... cena: 13.000 Kč/kurz

  • Podobný kurz     Praha 10  
    (??)   MS Visio 2007 - pokračovací školení - Pracujte na počítači EFEKTIVNĚ!

    - ... cena: 2.450 Kč/kurz bez DPH a/nebo cena je osvobozena od DPH

  • Podobný kurz     Praha 4  
    (??)   Koordinátor BOZP na staveništi podle §14 zákona č. 309/2006 Sb. ve znění pozdějších předpisů - ZKOUŠKA - TÜV SÜD Czech s.r.o.

    - ... cena: 6.000 Kč/kurz bez DPH a/nebo cena je osvobozena od DPH

  • Podobný kurz     Praha 4  
    (??)   Koordinátor BOZP na staveništi podle §14 zákona č. 309/2006 Sb. ve znění pozdějších předpisů - ZKOUŠKA - TÜV SÜD Czech s.r.o.

    - ... cena: 6.000 Kč/kurz bez DPH a/nebo cena je osvobozena od DPH

  • Podobný kurz     Brno - Jihomoravský  
    (??)   Windows Server - Správa zabezezpečení v praxiWindows Server 2008/2012 - Security - ICT Pro s.r.o. – Kurzy, školení, konzultace ICT a Soft Skills

    - ... cena: 15.600 Kč/Kurz (18.876 Kč/Kurz včetně DPH)

  • Podobný kurz     Brno - střed - Jihomoravský  
    (??)   Studium pedagogiky podle § 22 odst. 1 písm. b] zákona č. 563/2004 Sb. # pro vychovatele - AM Solvo

    - ... cena: 13.000 Kč/kurz




  • ^






    Popis kurzu
    Finance in Microsoft Dynamics NAV 2009 (MOC80041) - s certifikátem


    Lektoři kurzu

    Lektoři z firmy: PC-DIR Real, s.r.o.


    [Kurz] Obsah kurzu/školení...

    Module 1: Financial Management Setup
    This module explain the fields on the General Ledger Setup window. It also explains how set up Accounting Periods, and how to set up Trail Codes, Source Codes, and Reason Codes
    Lessons
    General Ledger Setup, Accounting Periods, Trail Codes
    Module 2: General Ledger
    This module explain the use of the Chart of Accounts and the elements of the Chart of Accounts and the G/L Account Card. It also explain the Budgets feature and the G/L Budgets page. It describes the process of setting up budgets manually, the additional budget processes, such as deleting budget entries, the process of creating budgets by using the Copy Budget function and the process of creating budgets by using the Export Budget and Import Budget functions.
    Lessons
    Chart of Accounts Overview, G/L Account Card, Chart of Accounts Page, Budget, Create Budgets Manually, Copy Budgets, Export and Import Budgets
    Module 3: General Journals
    This module explain the General Journal entry and posting system. It describes how to create and post General Journal entries. It also describe Recurring Journals, including the fields and allocations to recurring journals and it demonstrate how to use Recurring Journals with allocations and how to record accruals. It also explain the process of reversing and correcting journal entries.
    Lessons
    Journal Overview, Creating and Posting Journal Entries, Recurring Journals Overview, Processing Recurring Journals, Reversals and Corrections
    Module 4: Cash Management
    This module describe the Bank Account Card. It demonstrate the process for entering and posting payments received from customers and the process for entering and posting payments to vendors. This module explain and demonstrate the process of financially voiding a check. It also describe the Bank Account Reconciliation window, the options for populating the bank reconciliation lines and demonstrate how to process a bank reconciliation.
    Lessons
    Bank Account Overview, Entering and Posting Receivables Payments, Entering and Posting Payables Checks, Financially Voiding Checks, Bank Reconciliation
    Module 5: Receivables Management
    This module describes the Payments FastTab on the Customer Card. It explain the Cash Receipt Journal, which is used to post payments received, the process of applying cash receipt payments and the process of unapplying entries to customer ledger entries. It also explain the process of reversing customer ledger entries. This module explains how to use payment discounts and describes the transactions for various situations that benefit from payment discounts. It explains how to use payment tolerance and describes the transactions for various situations that benefit from using payment tolerance. This module also explain why and when Reminders and Finance Charge Memos are used, it explain how to use reminders and the process of creating and issuing reminders. It also explain how to use finance charge memos and the process of creating and issuing finance charge memos. Finally it describes how to review the Customer Ledger Entries and Detailed Customer Ledger Entries.
    Lessons
    Customer Card, Cash Receipt Journals Overview, Applying Cash Receipt Payments, Unapply Customer Ledger Entries, Reversal of Posted Journals, Set Up Payment Discounts, Process Payment Discounts, Set Up Payment Tolerance, Process Payment Tolerance, Reminders and Finance Charge Memos, Set Up and Assign Reminder Terms, Create and Issue, Reminders, Set Up and Assign Finance Charge Terms, Create and Issue Finance Charge Memos, Analyzing Receivables
    Module 6: Payables Management
    This module describe the Payments FastTab on the Vendor Card window. It explain the Payment Journal, which is used to process payments. It also explain the Apply Vendor Entries window, used to apply payments to vendor ledger entries. This module explain the process of entering and posting manual checks. it decribes the Suggest Vendor Payments batch job, which is used to generate open payables entries in the Payment Journal and how to create payments using the Suggest Vendor Payment batch job. This module explain the process of printing and posting payments and explain the process of voiding printed but unposted payments. It demonstrate how to apply payments to vendor ledger entries after posting, explain the process of unapplying vendor ledger entries and explain the process of reversing vendor ledger entries posted using journals. It explains how to use payment discounts and describes the transactions for various situations that benefit from using payment discounts. It explains how to use payment tolerance and the transactions for various situations that benefit from payment tolerance. Finally it describes how to review Vendor Ledger Entries and Detailed Vendor Ledger Entries.
    Lessons
    Vendor Card, Payment Journal Overview, Apply Vendor Entries Window, Post Manual Payables Checks, Suggest Vendor Payments Overview, Create Payments Using Suggest Vendor Payments, Print and Post Payables Checks, Void Unposted Checks, Apply Payments after Posting, Unapply Vendor Ledger Entries, Reversal of Journal Postings, Set up Payment Discounts, Process Payment Discounts, Set Up Payment Tolerance, Process Payment Tolerance, Analyze Payables
    Module 7: Prepayments
    This module explain the requirements for setting up prepayments and how to set up and assign prepayment General Ledger accounts, for sales and purchases, and how to set up default prepayment percentages on customers and vendors and Customer-Item and Vendor-Item combinations. It describes how to set up prepayment posting verification for sales and purchases and explain the prepayment processing flows for sales and purchase orders. It also describe the prepayment-specific fields on sales and purchase orders and how to create sales and purchase orders with prepayment percents and amounts and prepayment invoices from sales and purchase orders. This module explain the processes available to correct posted prepayment invoices.
    Lessons
    Prepayments Setup Overview, Set Up Prepayment General Ledger Accounts, Set Up Number Series for Prepayment Documents, Set Up Prepayment Percentages for Customers and Vendors, Set Up Prepayment Percentages for Customer-Item and Vendor-Item Combinations, Set Up Check Prepayment When Posting, Prepayments Processing Flows, Prepayment Sales and Purchase Orders Overview, Process Prepayment Sales and Purchase Orders, Process Prepayment Sales and Purchase Invoices, Correct Prepayments
    Module 8: VAT and Intrastat
    This module explain the VAT settings on sales and purchase documents. It also explain the process of adjusting calculated VAT amounts in sales and purchase documents and journals. This module demonstrate the process of recording Import VAT. This module describe how to correct a posted VAT entry and print a VAT Statement. It explain and run the Calc. and Post VAT Settlement batch job. This module explain the requirements of reporting Intrastat, how to set up Intrastat and the process of running and submitting Intrastat reports.
    Lessons
    Display VAT Amounts in Sales and Purchase Documents, Adjust VAT Amounts in Sales and Purchase, Documents and Journals, Import VAT, VAT Correction, VAT Statements, VAT Settlement, Intrastat Reporting, Set Up Intrastat, Report Intrastat
    Module 9: Multicurrency
    This module explain the setup requirements for currencies and exchange rates when using multiple currencies. It also explains the setup requirements using multiple currencies with Customers, Vendors, and/or Bank Accounts and the additional functionality for using Purchase and Sales documents that have foreign currency. This module describe the additional functionality when posting multicurrency transactions in the Cash Receipts Journal or the Payments Journal. It describes the process of running the Adjust Exchange Rates batch job for Customers, Vendors, and/or Bank Accounts. And It also explain the set up, viewing amounts, daily processing, and periodic processes when using an Additional Reporting Currency. Finally this module explain the process of consolidations with companies using different currencies.
    Lessons
    Currency Card and Currency Exchange Rates, Set Up Multicurrency for Customers, Vendors, and Bank Accounts, Process Sales and Purchase Documents, Process Cash Receipts, Process Payments, Use the Adjust Exchange Rates Batch Job, Additional Reporting Currency, Consolidations with Multiple Currencies
    Module 10: Year End Closing Processes
    This module explains how to close the accounting periods for the fiscal year, run the Close Income Statement batch job process and complete the closing process by posting the General Journal.
    Lessons
    Closing a Fiscal Year, Transferring Income Statement Account Balances, Posting the Journal

    [Kurz] Cíl školení / poznámka ke kurzu...

    About this Course The three-day course, Microsoft Dynamics Finance NAV 2009, covers the basic financial functionality available for Microsoft Dynamics NAV 2009. Students lea> how to set up the General Ledger, Accounts Payable, Accounts Receivable, and Bank Management modules in Microsoft Dynamics NAV. The student also lea> how to create transactions, use the VAT module and create reporting in more than one currency. This course gives you hands-on experience in setting up financials in Microsoft Dynamics NAV 2009. This course provides the necessary tools for students to handle the key financial functions within an organization, hereunder create postings, process cash management, develop journals, and follow the transactions. The student will also be able to process the receivables and payables management module in NAV and manage VAT in NAV.






    Poslední aktualizace: 2021-12-01 17:31:09

    PC-DIR Real, s.r.o.
    Finance in Microsoft Dynamics NAV 2009 (MOC80041) #

    Počítačové kurzy a semináře - grafika, databáze, programování, web & internet, office, GIS

    Téma kurzů nebo školení:
  • MAIL RSS Finanční kurzy
  • MAIL RSS Právo a legislativa
  • MAIL RSS Programování
  • MAIL RSS Počítačové sítě



     
    Komentáře a dotazy na školení a nebo kurz

    Pro tento kurz již nelze poslat žádný dotaz
     

     

    Hledáte náhodou nějakou práci?


    Konzultant systému Microsoft Dynamics 365 NAV [80 - 100.000 Kč]
    office. Popis pozice: Hledáme zkušeného specialistu ERP systémů, který se specializuje na Microsoft Dynamics 365 NAV... jsou postavené na Microsoft technologiích. Po celém světě zaměstnáváme více než 3000 pracovníků. V České republice máme několik..., Brno, Jihomoravský

    SPRÁVA A PODPORA MICROSOFT 365 - Brno
    Máš zkušenosti se správou služeb v prostředí Microsoft 365? Podpora uživatelů pro tebe není překážka? Do výrobní... společnosti hledáme novou posilu do již stávajícího týmu. Budeš se starat o služby v prostředí Microsoft 365 a dalších produktů..., Brno, Jihomoravský

    Správa a podpora microsoft 365 - Brno
    příspěvek pro dětské aktivity Popis pozice: Máš zkušenosti se správou služeb v prostředí Microsoft 365? Podpora uživatelů pro... v prostředí Microsoft 365 a dalších produktů jako Sharepoint, Outlook, Active Directory nebo MS Teams. Součástí pracovní náplně..., Brno, Jihomoravský

    ADMINISTRATIVNÍ PRACOVNÍK VE FINANCÍCH
    se můžete doopravdy posouvat a rozvíjet se, čtěte dál! Jsme česká nezávislá akciová společnost SMS Finance, působící v celé... pracovní doba o Stabilní zázemí SMS Finance, a.s. o Osobnostní rozvoj díky kvalitní manažerské práci o Krásné a moderní..., Brno, Jihomoravský

    Head of Public Cloud ERP Product Mgmt [m/f/d] Finance Record-to-Report/ Group Reporting Analytics
    and related areas in Finance. Therefore, expertise in one or more of these topic areas is an advantage. What you'll do The... Head of Public Cloud ERP Product Management [m/f/d] Finance Record-to-Report/ Group Reporting Analytics will report..., Brno, Jihomoravský

    ^

    Podobné kurzy # finance + in + microsoft + dynamics + nav + 2009 + moc80041




  •  
    RSS
    RSS - odběr novinek - nové kurzy, rekvalifikace a školení
    Nové kurzy/školení | Nové termíny kurzů/školení | Last-Minute | Odběr novinek na Váš mail
    skoleni-kurzy.eu

    SKOLENI-KURZY.EU



    REGIONY



    MENU



    KONTAKT


    skoleni-kurzy.eu
    2007 - 2024 © OBEC.net, sro
    Potoční 8, 617 00 Brno, CZ
    Email: info[at]skoleni-kurzy.eu
    Telefon:(+420) 775 193 488
    Fax:
    Kontakt

    +



    +




    V případě dotazu ke kurzu využijte prosím kontaktní formulář u daného konkrétního kurzu





    Školení: LinkBuildingLinkBuilding v květnu 2024 - Brno
    ^