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MB-310T00: Microsoft Dynamics 365 Finance

Dieses Training behandelt die finanziellen Aspekte von Dynamics 365: Konfigurieren und Verwenden wesentlicher Finanzkomponenten, Kreditorenbuchhaltung, Debitorenbuchhaltung, Inkasso, Budgetierung, Anlagevermögen und zusätzliche Funktionen

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Dauer
4
Trainingssprache
Deutsch
Trainingsart
Nicht verfügbar

Was werden Sie in diesem Training erlernen?

Agenda

Get started with Dynamics 365 Finance
Benefits of Dynamics 365 Finance
Overview
General ledger
Cash and bank management
Tax
Accounts payable
Accounts receivable
Credit and collections
Budgeting
Fixed assets
Cost accounting
Electronic invoicing
Configure currencies in Dynamics 365 Finance
Set up currencies and conversions
Configure and import currency exchange rates
Create fiscal calendars, years, and periods in Dynamics 365 Finance
Fiscal calendars, fiscal years, and periods
Create fiscal calendars, years and periods
Select a fiscal calendar
Define budget cycle time spans
Maintain periods for your organization
Create date intervals
Configure chart of accounts in Dynamics 365 Finance
Plan your chart of accounts
Multiple chart of accounts
Set up chart of accounts
Main account categories
Main account information
Allocation terms
Main account validation options
Main account closing options
Financial tags
Accounts for automatic transactions
Define and configure financial dimensions
Create a custom financial dimension
Create an entity-backed financial dimension
Activate and delete financial dimensions
Default dimension values
Derived dimensions
Configure financial dimension templates and sets
Define and configure account structures and advanced rules
Ledger account aliases
Set up ledgers and journals in Dynamics 365 Finance
Understand the different types of journals and their setup
Describe use cases for periodic journals
Configure ledger and journal setup
Discover options for implementing voucher numbers in journals
Set up journal approvals
Configure and use journals
Reverse journal posting
Set up batch transfer rules
Perform general ledger daily procedures in Dynamics 365 Finance
Using balance control accounts
Process a journal entry
Work with general ledger processes
Ledger settlements
Create templates to edit journals in Microsoft Excel
Create voucher templates
Set up journal controls
Perform general ledger daily procedures in Dynamics 365 Finance
Using balance control accounts
Process a journal entry
Work with general ledger processes
Ledger settlements
Create templates to edit journals in Microsoft Excel
Create voucher templates
Set up journal controls
Intercompany accounting in Dynamics 365 Finance
Set up intercompany accounting
Post intercompany journals
Trace an intercompany entry
Configure ledger allocations and accruals in Dynamics 365 Finance
Configure and apply accrual schemes
Configure ledger allocation rules
Configure and perform periodic processes in Dynamics 365 Finance
Set up the Financial period workspace and closing schedule
Bank reconciliations
Year-end 1099 reporting
Run foreign currency revaluation processes
Process end of year close
Perform financial consolidations
Work with analytics and reporting in finance and operations apps
Understand different types of reports and inquiries
Financial reporting
Find inquiries and reports
Generate and consume inquiries and reports
Configure finance and operations apps for Microsoft Power Platform
Configure cash and bank management in Dynamics 365 Finance
Understand bank transaction types and groups
Set up cash and bank management parameters
Set up the Single Euro Payments Area (SEPA) direct debit mandate
Set up International Bank Account Number (IBAN) structures
Configure banks and bank check layout
Set up bank accounts for customers
Set up bank accounts for vendors
Deposit and refund checks
Understand cash flow forecast and reports
Configure cash flow forecasting
Configure taxes in Dynamics 365 Finance
Configure ledger posting groups
Configure sales tax authorities
Configure sales tax settlement periods
Create sales tax codes
Configure sales tax groups and item sales tax groups
Withholding tax
Sales tax exemption
Conditional sales tax
Sales tax on transactions
Set up sales tax reporting codes
Prepare periodic filings
Check your knowledge
Perform accounts receivable daily procedures in Dynamics 365 Finance
Create free text invoices
Recurring free text invoices
Create and handle payments of customer invoices for sales orders
Settle transactions and undo settlements
Revenue recognition overview
Define revenue schedules
Define revenue prices
Set up bundle items
Set up credit and collections in Dynamics 365 Finance
Set up accounts receivables for credit and collections
Set up credit and collections components
Set up interest rates for an interest code
Waive, reinstate, or reverse interest fees
Set up and manage collection letters
Process credit and collections in Dynamics 365 Finance
Customer account statement
Working with collections
Manage customer credit and collections
Credit management
Configure Accounts payable in Dynamics 365 Finance
Configure the payment schedule
Configure terms of payment and payment days
Configure cash discounts
Set up payment fees
Create vendor groups
Set up accounts payable posting profiles
Create vendors
Set up methods of payment for vendors
Set up electronic payment formats
Configure accounts payable charges
Configure and use positive pay
Perform Accounts payable daily procedures in Dynamics 365 Finance
Understand invoice types in Accounts payable
Incoming invoice payments
Record vendor invoices
Modify due dates and discount dates
Work with cash discounts from vendors
Create vendor payments
Reverse a vendor payment
Manage prepayments and prepayment invoices
Work with accounting distributions, invoice validations and settlements in Dynamics 365 Finance
Settle transactions and undo settlements
Distribute funds by using accounting distributions
Configure invoice validation policies
Three-way matching policies
Accounts payable invoice matching
Invoice totals matching
Two-way, price totals matching
Two-way, net unit price matching
Three-way matching
Vendor invoice workflow
Charges matching
Get started with Expense management in Dynamics 365 Project Operations
Plan expense management
Intercompany expenses
Financial management
Per diems
Journals and accounts
Payment methods
Taxes
Policies
Expense categories and shared categories
Map expense categories to a main account
Set up and configure Expense management in Dynamics 365 Project Operations
Expense management workspace
Expense management parameters
Expense management workflows
Expense report policies and per diem rules
Evaluate policies by using Audit workbench cases
Set up mileage expense options
Intercompany expenses
Personal expenses on an expense report
Set up credit card transaction processing and import credit transactions
Expense receipt processing
VAT recovery
Create and process expense reports in Dynamics 365 Project Operations
Create an expense report
Intercompany expenses
Itemize expenses by line
Distribute an expense
Add guests
Work with travel requisitions in Dynamics 365 Project Operations
Create a travel requisition
Exercise - Create a travel requisition
Approve a travel requisition
Create a cash advance
Update a cash advance
Configure and use basic budgeting and budget control in Dynamics 365 Finance
Planning for basic budgeting and budget control
Budgeting methodologies
Basic budgeting overview
Configure basic budgeting
Use workspaces and inquiry pages to track budget vs. actuals
Budget control overview
Configure budget control
Configure budget control (cont.)
Create and manage budget register entries
Use inquires and reports for budget analysis
Implement a budget register workflow
Configure fixed assets management in Dynamics 365 Finance
Fixed assets and current assets
Accounting for fixed assets
Relationships between fixed assets components
Configure fixed assets components
Derived books
Enable fixed asset integration
Fixed asset transaction options
Demonstration - Create a fixed asset
Manage fixed assets in Dynamics 365 Finance
Scenario - customer requirements for fixed assets
Set up and create fixed assets
Set up acquisitions
Acquire assets through procurement
Manual and automatic methods to create fixed assets
Transfer a fixed asset
Set up fixed asset groups
Split a fixed asset
Update fixed asset information
Fixed assets roll forward report
Depreciation
Dispose and lend fixed assets
Sell a fixed asset by using a free text invoice
Dispose of fixed assets as scrap
Estimate and eliminate a project to a fixed asset
Asset budgeting
Zu den Aufgaben des Dynamics 365-Modulbetreuers für den Kundendialog gehören Netzwerksuche, Erfassen von Bedürfnissen, die Einbeziehung von Fachexperten und Stakeholdern, das Übersetzen von Bedürfnissen, sowie Lösungen und Anwendungen zu konfigurieren. Der Functional Consultant implementiert eine Lösung unter Verwendung von standardisierten Funktionen, codeloser Erweiterbarkeit, Anwendungs- und Service-Integrationen.
Grundkenntnisse in der Buchhaltung Kernkompetenzen in Dynamics 365 Core
Microsoft Technik

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