Cash Flow Management in MIcrosoft Dynamics AX 2012 R3

SKU: 83012
This course discusses the Cash Flow Management in Microsoft Dynamics AX 2012 R3
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    DEMO: This is a sample video of this course.


    Course Length: 00 Hours 12 Minutes 35 Seconds
    The paid version of this course contains videos of following topics: 

    Course Outline

    Cash Flow Management in Microsoft Dynamics AX 2012 R3 

    At Course Completion
    The goal of this course is to enable students to:

    • Forecast cash flow and currency requirements

    • Cash flow statement

    • Set up liquidity accounts

    • Set up a cash flow forecast for sales and purchases

    • Set up dependent cash flow forecasts in main accounts

    • Example: Set up, calculate, and view a cash flow forecast for a sales account

    • Include budgets in cash flow forecasts

    • Calculate, view, and print a cash flow forecast

    • Calculate and display currency requirements

    Cover topics from the training materials for the Dynamics AX 2012 Financials II. These workshops intended to be used for all tracks include, but are not limited to: Financial, supply chain, functional, technical and development tracks. This course prepares you for Microsoft Dynamics AX 2012 R3 Finance Certification Exam.