| Course OutlineModule 1: Overview This chapter introduces students to the Accounts Receivable module of Microsoft Dynamics SL product and training course. The chapter introduces the windows and processes that are used to complete the accounting cycle in Accounts Receivable. Also, it is important to note that this chapter is optional and can be skipped at the instructor's discretion. If the instructor feels that each student's background provides sufficient experience in these topic areas, then the instructor reserves the right to skip this chapter. Lessons - Course Description
- Module Overview
- Accounts Receivable Process Flow
- Other Features
After completing this chapter, students will be able to: Understand the goals of this course. See how the Accounts Receivable module fits into the suite of available modules for the Microsoft Dynamics SL system. Follow the flow of transactions through Accounts Receivable. Module 2: Active OverviewThis chapter examines the core processes that are used in the Accounts Receivable module. The purpose of this chapter is to introduce each step in the accounting cycle, briefly discuss its purpose, and primary features, and focus on its function in the accounting cycle. Please note that this chapter is not intended to provide a detailed primer on each of these topics. This chapter is optional and can be skipped at the instructor's discretion. If the instructor feels that each student's background provides sufficient experience in these topic areas, then the instructor reserves the right to skip this chapter. Lessons - Transaction Flowchart
- Invoice Entry
- Payment Entry
- Viewing Results
After completing this chapter, students will be able to: Identify the basic processes required to enter a customer invoice. Understand the purpose of the Payment Application process. View the results of transactions. Module 3: Customer MaintenanceThis chapter examines the setup of customers. The purpose of this chapter is to describe the information required to define a customer in the system. A customer must be defined before Accounts Receivable documents can be entered. Lessons - Procedures for Maintaining Customers
- Customer Maintenance window
- Customer Class Maintenance window
- Customer History window
Lab : Customer MaintenanceAfter completing this chapter, students will be able to: Create and maintain customers. Define default values for customers. Understand the uses of the customer classes. View Customer Balances. Module 4: Invoice and Adjustment EntryThis chapter discusses the concept of batch entry. The fields and features of the Invoice and Memo window are discussed. This chapter examines the types of documents that can be entered in the Invoice and Memo window and the processes required to update customer balances. Also, execute reports to verify information entered and use the Document Maintenance window to edit information after a batch is released. Lessons - Procedures for Entering Invoices
- Invoice and Memo Entry Window
- Debit and Credit Memo Documents
- Document Maintenance
- Releasing Accounts Receivable Documents
- Accounts Receivable Batch Reports
Lab : Invoice and Memo Entry- Enter documents to issue invoices to customers
Lab : Credit Memo Entry- Issue a credit memo to a customer for unneeded goods
Lab : Invoice and Memo Entry (Optional)- Enter a batch of invoices with documents for various customers
After completing this chapter, students will be able to: Create invoice, debit memo, and credit memo documents. Edit documents for customers. Module 5: Customer InquiryThis chapter examines the series of windows available for viewing customer balances and drilling down to the transaction details. The Inquiry windows provides the ability to view customer balances and documents without having to print reports. Learn to view balances and drill down to the details of the transactions. Lessons - Customer Inquiry Window
- Customer Activity window
- Documents Report
- Customer History
Lab : Customer Inquiry- Use the Customer Inquiry window to view Accounts Receivable data
Lab : Customer Reports- Use the Aged AR report to view customer data
After completing this chapter, students will be able to: Perform customer inquiries. Locate customer documents. Drill down to document details Module 6: Payment ApplicationThe chapter explores the different ways that payments, prepayments, and credit memos are applied to invoices. The auto payment application process is discussed as well as the differences, advantages, and disadvantages among the different application methods. Lessons - Payment Application Window
- Payment Entry Window
- Auto Payment Application Process
- Payment Applications Report
Lab : Payment Entry and Application- Print the Cash Requirements report and select documents for payment processing
Lab : Payment Entry and Application- Enter a payment and immediately apply it to a specific customer invoice
Lab : Payment and Prepayment Entry- Use the Payment Entry window to enter payments for customers
Lab : Payment Application- Apply previously entered payments to specific customer documents
After completing this chapter, students will be able to: Create payments for customers. Apply payments to specific customer invoices. Apply credit memos to customer invoices. Create Pre-payments. Module 7: Payment Application Inquiry/ReversalThis chapter explores the options for dealing with incorrect payments. The chapter describes how to reverse payment applications, correct payments entered for the wrong customer, void payments, and optionally charge Non Sufficient Fund fees. Lessons - Reverse Payment Applications
- Reclassify Payments to Different Customers
- Void Payments
Lab : Payment Application Inquiry/Reversal- Use each of the functions in the Payment Application Inquiry/Reversal window to void, reclassify, and reverse payment applications
After completing this chapter, students will be able to: Module 8: Small Balance/Credit Write-OffThis chapter describes how to void a payment after it has been issued. View the reinstated invoice, and understand the steps to issue a new payment. Lessons - Write-Off using Payment Application Window
- Small Balance/Credit Write Off
Lab : Write Off in Payment Applications- Write off a discount taken after the discount date using the Payment Application window
Lab : Small Balance Write Off- Write off documents that met specified criteria
After completing this chapter, students will be able to: Set limits for Small Balance Write-off. Write off small balances and credits during Payment Application. Write off small balances and credits for a set of documents. Module 9: Recurring InvoicesUse the recurring invoice feature to make repetitive documents more efficient. This chapter demonstrates defining a recurring item and executing the process to create the invoice each period. Lessons - Procedures for using Recurring Invoices
- Recurring Invoice Maintenance
- Generate Recurring Invoices
Lab : Create a Recurring Invoice- Create a recurring item for a quarterly service contract.
- Generate the recurring invoice.
After completing this chapter, students will be able to: Determine when invoices should be defined as Recurring Invoices. Set up Recurring Invoices. Process Recurring Invoices to generate a batch. Module 10: Customer StatementsThis chapter introduces the procedures that should be run prior to printing customer statements. The chapter also demonstrates how to set up and apply finance charges, view aging balances, and the options for assigning customers to statement cycle groups and printing statements. Lessons - Procedures for Processing Customer Statements
- Statement Cycle Maintenance
- Apply Finance Charges
- Age Customer Detail
- Close Statement Cycle
- Print Statements
Lab : Process Customer Statements- Apply Finance Charges
- Age Customer Detail
- Close the Statement Cycle
- Print Customer Statement
After completing this chapter, students will be able to: Decide when to print customer statements. Define statement cycles for customers. Age customer documents. Apply Finance Charges XE "Apply Finance Charges" . Module 11: Month-End ProceduresThe objective of this chapter is to describe how to create a closing checklist to ensure all transactions and activities have been completed for the accounting period. The chapter demonstrates how to produce appropriate audit trail reports,correct an out of balance condition, and close only Accounts Receivable or all modules for the period. This chapter also discusses the detail retention and deletion options. Lessons - Balance the Accounts Receivable module to the General Ledger
- Correct an Out of Balance Condition
- Close for the Month or Year
- Delete Accounts Receivable Detail
- Perform Accounts Receivable Integrity Payment
After completing this chapter, students will be able to: Understand Month-End processes and procedures. Balance Accounts Receivable to General Ledger. Decide when to close Accounts Receivable for the period. Execute the Closing process. Delete detail for Accounts Receivable. Understand the AP Integrity Check and when to use it. Module 12: Appendix: Accounts Receivable SetupUnderstand the defaults and user options defined in the Accounts Receivable Setup window. Even though these options are typically not changed after the product is implemented, the chapter discusses default values and processes through the settings in this window. This chapter is optional and can be skipped at the instructor's discretion. If the instructor feels that each student's background provides sufficient experience in these topic areas, then the instructor reserves the right to skip this chapter. Lessons - Accounts Receivable Setup
- Accounts Receivable Implementation Worksheet
- Salesperson Maintenance
- Customer Class Coding
- Statement Cycles
- Sales Territory
- Customer Class
- Initialize Customer History
After completing this chapter, students will be able to: Understand the options in the Accounts Receivable setup window. Understand how the Accounts Receivable setup options impact the Accounts Receivable module. Initialize existing history. Module 13: Appendix: Sales Tax MaintenanceThis chapter discusses the options for tracking Sales Tax. The student learns how to define taxes and enter updated tax rates, set the default tax IDs for customers/vendors, and use taxes in data entry. This chapter is optional and can be skipped at the instructor's discretion. If the instructor feels that each student's background provides sufficient experience in these topic areas, then the instructor reserves the right to skip this chapter. Lessons - Sales Tax Procedures
- Tax Maintenance
- Tax Categories
- Tax Groups
- Assigning Taxes to Customers
- Using Taxes in Data Entry
- Tax Reporting
After completing this chapter, students will be able to: Module 14: Appendix: Terms MaintenanceThis Appendix defines payment terms for vendors/customers and teaches the student how to set up terms with discount options. Multiple installments can be defined using standard frequencies or user defined payment dates and amounts. This chapter is optional and can be skipped at the instructor's discretion. If the instructor feels that each student's background provides sufficient experience in these topic areas, then the instructor reserves the right to skip this chapter. Lessons - Shared Information Terms Maintenance
- Multiple Installments
- Using Multiple Installment Terms
After completing this chapter, students will be able to: Define Terms for use in Data Entry. Create Multiple Installment Terms. Use multiple installment Terms. Module 15: Appendix: Accounts Receivable Case StudyThis appendix includes a case study of Accounts Receivable. The case study allows students to practice what has been learned in a comprehensive exercise. The case study is organized such that each task builds on the previous task. Based on country-specific needs, this chapter is optional for classroom presentation. Lessons - Customer setup
- Customer Statements
- Period-end reports
After completing this chapter, students will be able to: |