General Ledger in Microsoft Dynamics GP 2013

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Course 80572A: General Ledger in Microsoft Dynamics GP 2013 Course Details Course Outline Module 1: Overview and Setup This module provides a general overview of the features and benefits of using General Ledger in an integrated environment and focuses on how General Ledger integrates with other functional areas in the Microsoft Dynamics GP application. This module also focuses on the setup procedures and different types of accounts in General Ledger, and how to define budgets for accounts using Microsoft Dynamics GP or Microsoft Excel. Features and Benefits General Ledger Setup Account Categories Posting Account Setup Unit Account Setup Fixed Allocation Account Setup Variable Allocation Account Setup Account Segment Setup Mass Modify Chart of Accounts Define the Retained Earnings Account Set Up Budgets Budget Maintenance Combining Budgets Quick Journal Setup Transaction Matching Setup Entering Beginning Balances Lab : Enter a Posting Account

Lab : Enter a Unit Account Lab : Enter a Fixed Allocation Account Lab : Enter a Variable Allocation Account Lab : Account Segment Setup Lab : Mass Modify Chart of Accounts Lab : Create a Blank Budget in Excel Lab : Importing a Budget from Excel Lab : Quick Journal Setup Identify the features and benefits available in General Ledger. Discuss integration that takes place between General Ledger and other modules. Customize settings for General Ledger. Enter a chart of accounts; including posting, unit, fixed allocation and variable allocation accounts. Define a retained earnings account and understand the options available. Enter budget information. Create Quick Journal entries to speed data entry and minimize errors. Enter beginning balances for a chart of accounts. Module 2: Daily Procedures This module defines the ways that transactions can be entered and posted in General Ledger. It explores the difference between transaction level and batch level posting, and the methods for posting batches. It also demonstrates how to use clearing entries to transfer the balance of an account that is no longer being used to another account. Batch Entry Transaction Entry Calculate Taxes in General Ledger Clearing Transaction Entry Budget Transaction Entry Quick Journal Entry Linking Transactions Batch Recovery

Lab : Transaction Entry, Unit Accounts Lab : Transaction Entry, Allocation Accounts Lab : Transaction Entry, Recurring Transactions Lab : Clearing Entry Lab : Budget Transaction Entry Lab : Quick Journal Entry Enter transactions involving posting, unit and allocation accounts. Print edit lists and post transactions. Enter and post clearing and quick journal transactions. Use Transaction Matching for analysis purposes. Module 3: Additional Functionality This module examines how to use Multidimensional Analysis, Intercompany functionality and set up Organizational Structures to use account security. Multidimensional Analysis Groups and Codes Assign Analysis Groups to Accounts Multidimensional Analysis Transactions Define Intercompany Relationships Entering Intercompany Transactions Organizational Structures Setup Define Organizational Relationships Assign User Classes to the Organizational Structure Assign Users to the Organizational Structure Assign a Range of Accounts to the Organizational Structure Assign an Individual Account to the Organizational Structure Activating Account Security Lab : Multidimensional Analysis Lab : Organizational Structure Setup Lab : Organizational Tree Setup

Lab : Organizational Structure, User Setup Lab : Organizational Structure, Mass Assignment Use the functionality available in Multidimensional Analysis. Set up Analysis Groups and Analysis Codes. Enter transactions using Analysis Codes. Retrieve analysis information from posted transactions. Set up Intercompany relationships. Use the Intercompany functionality to enter and process transactions. Trace intercompany transaction back to the originating entry. Define discrete business entities using Organizational Structures. Define relationships between multiple business entities. Define account security levels based on their organizational structure. Module 4: Maintaining Records This module examines the functionality available to maintain General Ledger records. There is a lesson that focuses on correcting posted entries as well as changing and deleting account records. Information about the reconcile features in General Ledger are discussed, including the capability of reconciling to other sub-ledgers. Inquiries and reports are also discussed in this module. Correcting a Posted Transaction Change, Inactivate, and Delete Account Records Reconcile Reconcile to GL Remove History Archive Matched Transactions Account Rollups Using Inquiries Report Options and Printing Report Groups Report List

Correct posted entries Change and delete records Use inquiries to retrieve information Use Account Rollup Inquiry Set up report options and report groups for reporting purposes Module 5: Period-End Closing This module examines the process of closing an accounting period and the fiscal year. The steps necessary to complete each phase of the closing process are discussed for the end of a period as well as a fiscal year. The module also looks at financial statements typically printed at the end of periods. Time is spent examining what actually takes place during the closing process and the two approaches that an organization may use for this process. Period-End Closing Year-End Closing Quick Financial Statements Printing Financial Statements Advanced Financial Analysis Lab : Quick Financial Setup Lab : Quick Financial, Report Options Complete period-end processes for an accounting period in General Ledger Consolidate periods and be aware of the effects of performing the consolidation process Complete the processes that should be performed at the end of a fiscal year. Create and print quick financial statements Understand basic concepts of using Advanced Financial Analysis