| Course OutlineModule 1: Overview and System Setup The purpose of this chapter is to give students a general overview of the features and benefits of using the Project Accounting module in an integrated environment. It also focuses on the integration of this module with other modules in the Microsoft Dynamics GP application. In addition, the chapter presents a holistic view of the Project Accounting suite. Lessons - Product Relationships
- Key Concepts
- Integration
- Holistic view of Project Accounting suite
- User Security
- Posting Setup
After completing this chapter, students will be able to: Identify the features and benefits available when using Project Accounting Discuss integration that takes place between Project Accounting and other modules within the Microsoft Dynamics GP system Setup user security for Project Accounting users Configure Posting Settings for Project Accounting transactions. Module 2: Project Accounting SetupThis chapter focuses on the procedures for setting up Project Accounting. We examine in detail the options available to set up this module to reflect the way your organization does business. Time is spent discussing the benefits of using different setup options. You must set up users, default account sources, each of the cost transaction type, and Billing Setup. Once your Project Accounting setup has been completed, you can start to use the Project Accounting module. Lessons - Project User Setup
- Project Accounting setup
- Timesheet, Equipment, Miscellaneous, Inventory Transfer, Employee Expense, Purchase Order, Purchasing Invoice Setup
- Billing Setup
- Billing Notes & Reports
Lab : Project Setup- Setup the Project Accounting module
Lab : Timesheet, Equipment, Miscellaneous, Inventory Transfer, Employee Expense, Purchase Order, and Purchasing Invoice Setup- Set up the transaction setup window for each of the cost transaction types
Lab : Billing Setup- Set up the Billing functionality for Project Accounting
- Create a Miscellaneous ID
After completing this chapter, students will be able to: Set up the Project Accounting module Configure Setup windows for Timesheet, Equipment, Miscellaneous, Inventory Transfer, Employee Expense, Purchase Order, and Purchasing Invoice transaction types Configure the Billing Setup window Module 3: Configuring Master RecordsThis chapter focuses on the procedures for configuring Project Accounting records like customers, employees, and rate tables. You must examine in detail the options available to customize this module to reflect the way your organization does business. Lessons - PA Customer, Employee, and Vendor Options
- Equipment ID and Miscellaneous ID Setup
- Project Accounting Setup and Options
- Cost Category Maintenance
- Rate Tables
- Billing Cycle Maintenance
- Fees
Lab : Customer Class Setup- Create a Customer Class for use in Project Accounting
Lab : Employee Maintenance- Add Project Accounting info to the PA Employee Options window
Lab : Equipment Class Setup & Equipment Maintenance- Create an Equipment Class
- Create an Equipment ID
Lab : Miscellaneous Class Setup & Miscellaneous Maintenance- Modify an existing Customer Class
- Create a Miscellaneous ID
Lab : Cost Category Class Setup & Cost Category Maintenance- Add a new Cost Category class
- Create a new Cost Category ID
- Modify existing Cost Categories
Lab : Position, Employee and Equipment Rate Tables- Create a new Rate Table for each type
Lab : Billing Cycle Maintenance- Create two new Billing Cycle IDs
Lab : Fee Maintenance- Create a new Fee ID for each of the four fee types
After completing this chapter, students will be able to: Maintain Employee, Customer, and Vendor records for Project Accounting Set up Cost Categories Create Contracts, Projects, Fees and budget Create a rate table Create a Billing Cycle Create and use templates for Projects and Contracts Module 4: Contracts and ProjectsTime is spent discussing the benefits of using different Project Types and Accounting Methods. You create Contracts, Projects, and budgets to track the information crucial to your company. Once your Project Accounting set up has been defined, there are many reports available to document the selected preferences. Lessons - Contracts and Projects
- Project Types and Accounting Methods
- 3rd Party Billing
- Change Order Maintenance
- Budgeting
- Templates
Lab : Contract Maintenance- Create and configure a new Contract
Lab : Project Maintenance- Create and configure three new projects one for each Project Type.
Lab : Template Maintenance & Copying Templates- Create and configure a new template for a contract and project
- Copy the template settings to a new contract
After completing this chapter, students will be able to: Create Contracts Create Projects Budget for Projects Create and use templates Module 5: Transaction EntryThe purpose of this chapter is to define the ways that transactions can be entered and posted in Project Accounting. You explore the difference types of Project Accounting transactions. In addition you must demonstrate posting implications for other Microsoft Dynamics GP modules from Project Accounting and learn the differences between Standard and References transactions. Entering timesheets, employee expenses, equipment logs, and miscellaneous logs is covered in this chapter. Lessons - Transaction Entry Overview
- Posting Overview
- Timesheet Entry
- Employee Expense Entry
- Equipment & Miscellaneous Log Entry
Lab : Timesheet Entry- Enter and post a timesheet
Lab : Employee Expense Entry- Enter and post an employee expense
Lab : Equipment Log Entry- Enter and post an equipment log transaction
Lab : Miscellaneous Log Entry- Enter and post a miscellaneous log transaction
After completing this chapter, students will be able to: Module 6: Purchasing and InventoryThis chapter covers purchasing and inventory transactions in project accounting. Concepts in this chapter are a continuation of the previous chapter on transaction entry. Lessons - Purchase Orders and Receiving transactions
- Inventory Transfer Entry
- Edit purchase orders
Lab : Purchase Order entryLab : Receiving Transactions- Enter and post a receiving transaction that matches to the previous lab.
Lab : Purchasing Invoice Transactions- Enter and post a purchasing invoice transaction that matches to the previous lab.
Lab : Inventory Transfer Transactions- Enter and Post an Inventory Transfer transaction.
After completing this chapter, students will be able to: Module 7: Billing and Revenue RecognitionThis chapter examines the creation of billing invoices and revenue recognition. Once costs have been incurred against a project billing invoices are created. This chapter discusses how time & material projects recognize revenue differently from fixed price and cost plus type projects. Lessons - Cycle Biller
- Billing Entry
- Time & Material invoicing vs. Progress Billings
- Revenue Recognition
- Cash Receipts applied to invoices
Lab : Billing CycleLab : Billing Entry- Enter and post billing invoices
Lab : Cash Receipt- Enter a Cash Receipt
- Apply the receipt to a Project Accounting Invoice.
Lab : Revenue Recognition- Enter and post a Revenue Recognition transaction.
- Apply the receipt to a Project Accounting Invoice.
After completing this chapter, students will be able to: Module 8: Maintaining RecordsThis chapter examines the processes that are completed at the end of the month, period, calendar, and fiscal year. This chapter focuses on the errors that may cause Project Accounting to be out of balance with the General Ledger. Lessons - Aging Process
- Aging WIP Process
- Paid Sales Transaction Removal
- Remove Completed Purchase Orders
- Close Fiscal Period
After completing this chapter, students will be able to: Module 9: Appendix: Job AidsThis appendix includes a variety of job aids that may be useful for regular users of project accounting. Lessons - Posting Flow
- Project Series Implementation Guide
- Billing Invoice Reports
- Glossary
- Checklists – Project Accounting Setup Checklist
- Notes in Project Accounting
- Cost and Profit Sources
Module 10: Appendix: Case StudyThis case study is a comprehensive lab that can be used to reinforce the learning that has occurred throughout the Project Accounting class. The Case Study is generally completed by students on their own after class. Lessons - Project User Setup
- Transaction Setup
- Employee Setup
- Cost Category Setup
- Templates
- Contract and Project Configuration
- Cost Transaction Entry
- Billing Invoice Entry
- Fee Assignments
- Revenue Recognition
- Reporting
After completing this chapter, students will be able to: Module 11: Appendix: ReportingThis appendix contains a list of reports available in project accounting. Lessons After completing this chapter, students will be able to: |
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