The MB-310 (Microsoft Dynamics 365 Finance) certification BootCamp course from CloudThat has been curated for candidates to help them prepare for Microsoft MB-310 exam. By taking up this BootCamp course, candidates will receive training from our in-house subject matter experts to successfully clear the exam. We also provide relevant study material necessary to pass the MB-310 certification exam to become a Microsoft certified Dynamics 365 Finance Functional Consultant.
This course covers the financial aspects of Dynamics 365: configure and use essential financial components, accounts payable, accounts receivable, collections, budgeting, fixed assets, and additional functionality.
A Dynamics 365 Finance Functional Consultant is responsible for performing discovery, capturing requirements, engaging subject matter experts and stakeholders, translating requirements, and configuring the solution and applications. The Functional Consultant implements a solution using out of the box capabilities, codeless extensibility, application and service integrations.
Note: You will need to clear both MB-300 and MB-310 exams to become Microsoft certified Dynamics 365 Finance Functional Consultant Associate.
Microsoft Dynamics 365 Finance Course Outline
Financial Management
Configure Currencies
Create Fiscal Calendars, Years and Periods
Configure Chart of Accounts
Configure Ledger and Journals
Configure Cash and Bank Management
Use Cash and Bank Management
Configure Letters of Credit and Guarantees
Perform Daily Procedures
Intercompany Accounting
Configure Ledger Allocations and Accruals
Configure Sales Tax
Configure Accounts Payable
Perform Accounts Payable Daily Procedures
Use Accounting Distribution and Invoice Validations
Configure Accounts Receivable
Perform Accounts Receivable Daily Procedures
Configure Credit and Collections
Process Credit and Collections
Configure Postdated Checks
Configure and Use Basic Budgeting and Budget Control Processes
Configure and Use Budget Planning Processes
Configure Fixed Assets Management
Manage Fixed Assets
Configure and Use Cost Accounting
Configure and Use Periodic Processes
Configure the Electronic Reporting Framework
Configure Localized Features
Configure Financial Management for Public Sector
Course Conclusion
To know more about the detailed course outline, click here.
Skills Gained Through MB-310 Certification
To clear the MB-310 exam successfully, candidates need to prepare in all areas of study covered under the MB-310 (Microsoft Dynamics 365 Finance) certification course. On taking up this course, here is what you learn:
Understand and perform financial duties in Dynamics 365 Finance
Set up and configure financial management
Implement and manage accounts payable and expenses
Implement accounts receivable, credit, collections, and revenue recognition
Manage budgeting and fixed assets
Why CloudThat?
Today, professionals skilled in Microsoft (MS) Dynamics 365 or Power Platform are highly in demand. Getting certified in MS Dynamics can help IT professionals set their career path on the right track. To help people get certified in Microsoft Dynamics or Power Platform, we at CloudThat have curated an in-depth training and BootCamp course.
CloudThat has trained over 350K industry professionals from fortune 500 companies in Cloud since 2012. Empowering tech professionals in unleashing the potential of Cloud computing technologies with best-in-class training, CloudThat proved its excellence and is a proud winner of Microsoft 2020 Global Partner of the Year Finalist award.
At CloudThat, we offer world-class teaching experienced catered to the diverse needs of technology professionals. From personalized mentoring to self-paced learning modules, we work towards providing a growth-oriented learning experience to nurture their future.
A Microsoft Gold Partner and a Microsoft Silver Learning Partner.
Winner of Microsoft 2020 Learning Partner of the Year Finalist award.
CloudThat CEO is the MCT Regional Lead for India.
Robust consulting division complements and feeds practical knowledge to trainers.
Trained 3,50,000+ professionals worldwide in instructor-led classroom and in virtual instructor-led classroom.
Our trainings are equipped with 50%-60% hands-on labs sessions.
Highly interactive virtual and classroom teaching.
Qualified instructor-led Training and mentoring sessions.
Practice lab and projects aligned to MS Dynamics learning modules.
Integrated teaching assistance and support.
Want to join our MB-310 BootCamp? Contact us now! Call us at +27 1108 37990 or email us at[email protected]
Objectives
After completing this course, candidates will be able to:
Set up and configure financial management
Implement and manage accounts payable and expenses
Implement accounts receivable, credit, collections, and revenue recognition
Manage budgeting and fixed assets
Who Should Attend
Functional Consultants having understanding of accounting principles and financial operations of businesses.
Prerequisites
Candidates must have a fundamental understanding of accounting principles and financial operations of businesses including accounts payables and accounts receivables, taxes, costing principles, fixed assets, and budgeting.
Basic accounting skills Core competencies in Dynamics 365 Core.
Course Outline
Module 1: Financial Management
In this module, you will learn some of benefits of financial management of Dynamics 365 for Finance and Operations.
Lessons:
Benefits of financial management
Financial management
Module summary
Module 2: Configure Currencies
Currency setup is a required step in the configuration of the system and is used to record financial transactions. This module explains currency management in Finance and Operations.
Lessons:
Introduction
Setup legal entity currencies and conversions
Configure and import currency exchange rates
Practice lab
Module summary
Module 3: Create Fiscal Calendars, Years and Periods
Before posting transactions, a new fiscal year must be divided into periods. A benefit of sharing fiscal calendars is that this supports multiple fiscal calendars for each legal entity. In this module, you will learn how to set fiscal year in Finance and Operations to any length and divided into any number of periods.
Lessons:
Introduction
Create fiscal calendars, years, and periods
Create date intervals
Practice lab
Module summary
Module 4: Configure Chart of Accounts
A chart of accounts is a set of main accounts in Finance and Operations that captures financial information upon posting a journal. In this module, you will learn how to configure chart of accounts.
Lessons:
Introduction
Define and configure the chart of accounts
Define and configure the financial dimensions
Define and configure account structures and rules
Practice labs
Module summary
Module 5: Configure Ledger and Journals
A journal is a worksheet that you can use before you manually enter postings into the system. In this module, you will learn how to set, configure, and use a journal, ledger and posting of the General ledger module.
Lessons:
Journals and their setup
Configure ledger and journal setup
User journals
Practice lab
Module summary
Module 6: Configure Cash and Bank Management
In Dynamics 365 for Finance and Operations, organizations use the Cash and bank management module to create and maintain bank accounts. In this module, learn how to configure the cash and bank management module.
Lessons:
Introduction
Bank transaction types and groups
Setup cash and bank management parameters
Configure banks and bank checks
Deposit and refund checks
Cash flow
Practice Labs
Module summary
Module 7: Use Cash and Bank Management
This module covers the main procedures in the Cash and bank management module in Finance and Operations. You learn how to work with cash and bank management workspaces such as Bank management and Cash overviews. You also learn about the processes and procedures for cash and bank management, like how to make deposits and cancel payments (deposits).
Lessons:
Make deposits and perform payment reversals
Use cash and bank management workspaces
Practice Labs
Module summary
Module 8: Configure Letters of Credit and Guarantees
In this module, you will learn what are the bank letters and how to configure letters of credit in order to create bank documents that are commonly used for the purchase and sale of goods across international borders and letters of guarantees.
Lessons:
Introduction
Configure letters of credit
Configure letters of guarantee
Module summary
Module 9: Perform Daily Procedures
In this module, you will learn how to \ review, change, and verify completed journals until they are ready for posting. You can set up restrictions on the company, account type, and segment values.
Lessons:
Learn about general ledger processes
Create voucher templates
Setup journal controls
Practice Lab
Module summary
Module 10: Intercompany Accounting
In this module, you will learn how to perform Intercompany accounting to help organizations by providing a single-entry point for transactions affecting multiple companies.
Lessons:
Setup and use intercompany accounting
Practice Lab
Module Summary
Module 11: Configure Ledger Allocations and Accruals
In this module, learn how to configure accruals and ledger allocations.
Lessons:
Introduction
Configure and apply accrual schemes
Configure ledger allocation rules
Practice labs
Module summary
Module 12: Configure Sales Tax
In this module, learn how to perform tax calculation, tax reporting, and configure tax components, such as sales tax authorities, settlement periods, and the sales tax codes.
Lessons:
Understand tax engine components
Practice lab
Module summary
Module 13: Configure Accounts Payable
In this module, learn how to set up different vendor payment options.
This module explains how to manage and apply prepayments, record invoices, and process payments.
Lessons:
Introduction
Process orders, invoices, and payments
Manage and apply prepayments
Practice Labs
Module summary
Module 15: Use Accounting Distribution and Invoice Validations
This module explains how to settle transactions and undo settlement and distribute funds by using accounting distributions. You will also learn how to perform invoice matching.
Lessons:
Introduction
Settle transaction and undo settlements
Distribute funds
Configure invoice validation policies
Practice labs
Module summary
Module 16: Configure Accounts Receivable
This module provides information about the configuration of essential components of the Accounts receivable module and the customer setup for efficient management of customers and customer transactions in Finance and Operations.
In this module, learn how to create free text invoices and receive payments from customers and deposit to the bank. You also learn how to refund a customer for the over payment amount or any other reasons like customer returns scenario which you need to refund the customer not only the payment but also the tax that has been collected, using reversals and use transaction reversals in Accounts receivable. You also learn how to distribute funds by using Accounting distributions in a free text invoice.
Lessons:
Create free text invoices and record customer payments
Settle transactions and undo settlement
Practice Lab
Module summary
Module 18: Configure Credit and Collections
This module explains how to manage delinquent customers by configuring the Credit and collections module in Dynamics 365 for Finance and Operations.
Lessons:
Introduction
Configure credit and collections components
Setup and manage interest
Waive, reinstate or reverse
Setup and manage collection letters
Practice Lab
Module Summary
Module 19: Process Credit and Collections
This module teaches how to process Credit and collections.
Lessons:
Introduction
Understand how to process collections
Manage customer credit and collections
Practice Labs
Module Summary
Module 20: Configure Postdated Checks
Microsoft Dynamics 365 for Finance and Operations supports the full management cycle for post-dated checks in both Accounts receivable and Accounts payable. This module teaches how to set up and process post-dated checks.
Lessons:
Introduction
Manage postdated checks
Practice Labs
Module Summary
Module 21: Configure and Use Basic Budgeting and Budget Control Processes
This module provides information about the how to configure and use basic budgeting and budget control.
Lessons:
Introduction
Configure basic budgeting components
Configure budget control components
Create and test budget registry entries
Use inquiries and reports
Practice Labs
Module summary
Module 22: Configure and Use Budget Planning Processes
An organization can configure budget planning, and then set up budget planning collaborative processes to meet its policies, procedures, and requirements for budget preparation. This module explains how to configure and test Budget planning processes.
Lessons:
Introduction
Configure budget planning components
Practice Lab
Module summary
Configure Budget planning components
Module 23: Configure Fixed Assets Management
This module starts with explaining fixed assets concepts and then teaches you how to configure and use the Fixed assets module in Dynamics 365 for Finance and Operations.
Lessons:
Introduction
Configure fixed asset components
Enable fixed asset integration
Create fixed assets
Practice labs
Module summary
Module 24: Manage Fixed Assets
In this module, you will learn how to process and manage fixed assets.
Lessons:
Introduction
Perform fixed assets tasks
Practice labs
Module summary
Module 25: Configure and Use Cost Accounting
In this module, you will learn how to create a cost accounting report by using the Cost accounting Get started wizard.
Lessons:
Introduction
Cost control workspace
Practice lab
Module summary
Module 26: Configure and Use Periodic Processes
In this module, you will learn how to configure financial period close, preparing filings, inventory closing and other related tasks.
Lessons:
Introduction
Bank reconciliations
Configure financial period close
Prepare periodic filings
Run foreign currency revaluation processes
Perform financial consolidations
Process end of year close
Practice Labs
Module summary
Module 27: Configure the Electronic Reporting Framework
In this module, learn how to configure Electronic Reporting (ER)
Lessons:
Introduction
Configure electronic reporting
Formula designer in electronic reporting
Practice Lab
Module summary
Module 28: Configure Localized Features
This module explains how to configure some examples of regional features in Finance and Operations.
Lessons:
Introduction
Localization and regulatory features
Classification of Mexican localization features
Understand the global tax engine
Module 29: Configure Financial Management for Public Sector
In this module, you will learn how to set up funds for the public sector, configure billing codes for free text invoices, advanced ledger entries functionalities for the public sector and understand bank reconciliation methods.
Lessons:
Introduction
Setup funds for the public sector
Setup derived financial hierarchies
Configure billing codes for free text invoices
Practice Labs
Module summary
Module 30: Course Conclusion
This module comprises final assessment and course summary, as well as a post-course survey for the course.
Lessons:
Final assessment
Course summary
Post-course survey
About the Trainer
Microsoft Dynamics Certified Trainer.
Course Fee
$1595
Batch for this course is not scheduled as of now.
For more details contact Mr. Bhavesh Goswami at +91 7618705318 or email at [email protected].
Duration: 4 Days
Duration: 4 Days
Description
The MB-310 (Microsoft Dynamics 365 Finance) certification BootCamp course from CloudThat has been curated for candidates to help them prepare for Microsoft MB-310 exam. By taking up this BootCamp course, candidates will receive training from our in-house subject matter experts to successfully clear the exam. We also provide relevant study material necessary to pass the MB-310 certification exam to become a Microsoft certified Dynamics 365 Finance Functional Consultant.
This course covers the financial aspects of Dynamics 365: configure and use essential financial components, accounts payable, accounts receivable, collections, budgeting, fixed assets, and additional functionality.
A Dynamics 365 Finance Functional Consultant is responsible for performing discovery, capturing requirements, engaging subject matter experts and stakeholders, translating requirements, and configuring the solution and applications. The Functional Consultant implements a solution using out of the box...Read more
The MB-310 (Microsoft Dynamics 365 Finance) certification BootCamp course from CloudThat has been curated for candidates to help them prepare for Microsoft MB-310 exam. By taking up this BootCamp course, candidates will receive training from our in-house subject matter experts to successfully clear the exam. We also provide relevant study material necessary to pass the MB-310 certification exam to become a Microsoft certified Dynamics 365 Finance Functional Consultant.
This course covers the financial aspects of Dynamics 365: configure and use essential financial components, accounts payable, accounts receivable, collections, budgeting, fixed assets, and additional functionality.
A Dynamics 365 Finance Functional Consultant is responsible for performing discovery, capturing requirements, engaging subject matter experts and stakeholders, translating requirements, and configuring the solution and applications. The Functional Consultant implements a solution using out of the box capabilities, codeless extensibility, application and service integrations.
Note: You will need to clear both MB-300 and MB-310 exams to become Microsoft certified Dynamics 365 Finance Functional Consultant Associate.
Microsoft Dynamics 365 Finance Course Outline
Financial Management
Configure Currencies
Create Fiscal Calendars, Years and Periods
Configure Chart of Accounts
Configure Ledger and Journals
Configure Cash and Bank Management
Use Cash and Bank Management
Configure Letters of Credit and Guarantees
Perform Daily Procedures
Intercompany Accounting
Configure Ledger Allocations and Accruals
Configure Sales Tax
Configure Accounts Payable
Perform Accounts Payable Daily Procedures
Use Accounting Distribution and Invoice Validations
Configure Accounts Receivable
Perform Accounts Receivable Daily Procedures
Configure Credit and Collections
Process Credit and Collections
Configure Postdated Checks
Configure and Use Basic Budgeting and Budget Control Processes
Configure and Use Budget Planning Processes
Configure Fixed Assets Management
Manage Fixed Assets
Configure and Use Cost Accounting
Configure and Use Periodic Processes
Configure the Electronic Reporting Framework
Configure Localized Features
Configure Financial Management for Public Sector
Course Conclusion
To know more about the detailed course outline, click here.
Skills Gained Through MB-310 Certification
To clear the MB-310 exam successfully, candidates need to prepare in all areas of study covered under the MB-310 (Microsoft Dynamics 365 Finance) certification course. On taking up this course, here is what you learn:
Understand and perform financial duties in Dynamics 365 Finance
Set up and configure financial management
Implement and manage accounts payable and expenses
Implement accounts receivable, credit, collections, and revenue recognition
Manage budgeting and fixed assets
Why CloudThat?
Today, professionals skilled in Microsoft (MS) Dynamics 365 or Power Platform are highly in demand. Getting certified in MS Dynamics can help IT professionals set their career path on the right track. To help people get certified in Microsoft Dynamics or Power Platform, we at CloudThat have curated an in-depth training and BootCamp course.
CloudThat has trained over 350K industry professionals from fortune 500 companies in Cloud since 2012. Empowering tech professionals in unleashing the potential of Cloud computing technologies with best-in-class training, CloudThat proved its excellence and is a proud winner of Microsoft 2020 Global Partner of the Year Finalist award.
At CloudThat, we offer world-class teaching experienced catered to the diverse needs of technology professionals. From personalized mentoring to self-paced learning modules, we work towards providing a growth-oriented learning experience to nurture their future.
A Microsoft Gold Partner and a Microsoft Silver Learning Partner.
Winner of Microsoft 2020 Learning Partner of the Year Finalist award.
CloudThat CEO is the MCT Regional Lead for India.
Robust consulting division complements and feeds practical knowledge to trainers.
Trained 3,50,000+ professionals worldwide in instructor-led classroom and in virtual instructor-led classroom.
Our trainings are equipped with 50%-60% hands-on labs sessions.
Highly interactive virtual and classroom teaching.
Qualified instructor-led Training and mentoring sessions.
Practice lab and projects aligned to MS Dynamics learning modules.
Integrated teaching assistance and support.
Want to join our MB-310 BootCamp? Contact us now! Call us at +27 1108 37990 or email us at[email protected]
After completing this course, candidates will be able to:
Set up and configure financial management
Implement and manage accounts payable and expenses
Implement accounts receivable, credit, collections, and revenue recognition
Manage budgeting and fixed assets
Who Should Attend
Functional Consultants having understanding of accounting principles and financial operations of businesses.
Prerequisites
Candidates must have a fundamental understanding of accounting principles and financial operations of businesses including accounts payables and accounts receivables, taxes, costing principles, fixed assets, and budgeting.
Basic accounting skills Core competencies in Dynamics 365 Core.
Course Outline
Module 1: Financial Management
In this module, you will learn some of benefits of financial management of Dynamics 365 for Finance and Operations.
Lessons:
Benefits of financial management
Financial management
Module summary
Module 2: Configure Currencies
Currency setup is a required step in the configuration of the system and is used to record financial transactions. This module explains currency management in Finance and Operations.
Lessons:
Introduction
Setup legal entity currencies and conversions
Configure and import currency exchange rates
Practice lab
Module summary
Module 3: Create Fiscal Calendars, Years and Periods
Before posting transactions, a new fiscal year must be divided into periods. A benefit of sharing fiscal calendars is that this supports multiple fiscal calendars for each legal entity. In this module, you will learn how to set fiscal year in Finance and Operations to any length and divided into any number of periods.
Lessons:
Introduction
Create fiscal calendars, years, and periods
Create date intervals
Practice lab
Module summary
Module 4: Configure Chart of Accounts
A chart of accounts is a set of main accounts in Finance and Operations that captures financial information upon posting a journal. In this module, you will learn how to configure chart of accounts.
Lessons:
Introduction
Define and configure the chart of accounts
Define and configure the financial dimensions
Define and configure account structures and rules
Practice labs
Module summary
Module 5: Configure Ledger and Journals
A journal is a worksheet that you can use before you manually enter postings into the system. In this module, you will learn how to set, configure, and use a journal, ledger and posting of the General ledger module.
Lessons:
Journals and their setup
Configure ledger and journal setup
User journals
Practice lab
Module summary
Module 6: Configure Cash and Bank Management
In Dynamics 365 for Finance and Operations, organizations use the Cash and bank management module to create and maintain bank accounts. In this module, learn how to configure the cash and bank management module.
Lessons:
Introduction
Bank transaction types and groups
Setup cash and bank management parameters
Configure banks and bank checks
Deposit and refund checks
Cash flow
Practice Labs
Module summary
Module 7: Use Cash and Bank Management
This module covers the main procedures in the Cash and bank management module in Finance and Operations. You learn how to work with cash and bank management workspaces such as Bank management and Cash overviews. You also learn about the processes and procedures for cash and bank management, like how to make deposits and cancel payments (deposits).
Lessons:
Make deposits and perform payment reversals
Use cash and bank management workspaces
Practice Labs
Module summary
Module 8: Configure Letters of Credit and Guarantees
In this module, you will learn what are the bank letters and how to configure letters of credit in order to create bank documents that are commonly used for the purchase and sale of goods across international borders and letters of guarantees.
Lessons:
Introduction
Configure letters of credit
Configure letters of guarantee
Module summary
Module 9: Perform Daily Procedures
In this module, you will learn how to \ review, change, and verify completed journals until they are ready for posting. You can set up restrictions on the company, account type, and segment values.
Lessons:
Learn about general ledger processes
Create voucher templates
Setup journal controls
Practice Lab
Module summary
Module 10: Intercompany Accounting
In this module, you will learn how to perform Intercompany accounting to help organizations by providing a single-entry point for transactions affecting multiple companies.
Lessons:
Setup and use intercompany accounting
Practice Lab
Module Summary
Module 11: Configure Ledger Allocations and Accruals
In this module, learn how to configure accruals and ledger allocations.
Lessons:
Introduction
Configure and apply accrual schemes
Configure ledger allocation rules
Practice labs
Module summary
Module 12: Configure Sales Tax
In this module, learn how to perform tax calculation, tax reporting, and configure tax components, such as sales tax authorities, settlement periods, and the sales tax codes.
Lessons:
Understand tax engine components
Practice lab
Module summary
Module 13: Configure Accounts Payable
In this module, learn how to set up different vendor payment options.
This module explains how to manage and apply prepayments, record invoices, and process payments.
Lessons:
Introduction
Process orders, invoices, and payments
Manage and apply prepayments
Practice Labs
Module summary
Module 15: Use Accounting Distribution and Invoice Validations
This module explains how to settle transactions and undo settlement and distribute funds by using accounting distributions. You will also learn how to perform invoice matching.
Lessons:
Introduction
Settle transaction and undo settlements
Distribute funds
Configure invoice validation policies
Practice labs
Module summary
Module 16: Configure Accounts Receivable
This module provides information about the configuration of essential components of the Accounts receivable module and the customer setup for efficient management of customers and customer transactions in Finance and Operations.
In this module, learn how to create free text invoices and receive payments from customers and deposit to the bank. You also learn how to refund a customer for the over payment amount or any other reasons like customer returns scenario which you need to refund the customer not only the payment but also the tax that has been collected, using reversals and use transaction reversals in Accounts receivable. You also learn how to distribute funds by using Accounting distributions in a free text invoice.
Lessons:
Create free text invoices and record customer payments
Settle transactions and undo settlement
Practice Lab
Module summary
Module 18: Configure Credit and Collections
This module explains how to manage delinquent customers by configuring the Credit and collections module in Dynamics 365 for Finance and Operations.
Lessons:
Introduction
Configure credit and collections components
Setup and manage interest
Waive, reinstate or reverse
Setup and manage collection letters
Practice Lab
Module Summary
Module 19: Process Credit and Collections
This module teaches how to process Credit and collections.
Lessons:
Introduction
Understand how to process collections
Manage customer credit and collections
Practice Labs
Module Summary
Module 20: Configure Postdated Checks
Microsoft Dynamics 365 for Finance and Operations supports the full management cycle for post-dated checks in both Accounts receivable and Accounts payable. This module teaches how to set up and process post-dated checks.
Lessons:
Introduction
Manage postdated checks
Practice Labs
Module Summary
Module 21: Configure and Use Basic Budgeting and Budget Control Processes
This module provides information about the how to configure and use basic budgeting and budget control.
Lessons:
Introduction
Configure basic budgeting components
Configure budget control components
Create and test budget registry entries
Use inquiries and reports
Practice Labs
Module summary
Module 22: Configure and Use Budget Planning Processes
An organization can configure budget planning, and then set up budget planning collaborative processes to meet its policies, procedures, and requirements for budget preparation. This module explains how to configure and test Budget planning processes.
Lessons:
Introduction
Configure budget planning components
Practice Lab
Module summary
Configure Budget planning components
Module 23: Configure Fixed Assets Management
This module starts with explaining fixed assets concepts and then teaches you how to configure and use the Fixed assets module in Dynamics 365 for Finance and Operations.
Lessons:
Introduction
Configure fixed asset components
Enable fixed asset integration
Create fixed assets
Practice labs
Module summary
Module 24: Manage Fixed Assets
In this module, you will learn how to process and manage fixed assets.
Lessons:
Introduction
Perform fixed assets tasks
Practice labs
Module summary
Module 25: Configure and Use Cost Accounting
In this module, you will learn how to create a cost accounting report by using the Cost accounting Get started wizard.
Lessons:
Introduction
Cost control workspace
Practice lab
Module summary
Module 26: Configure and Use Periodic Processes
In this module, you will learn how to configure financial period close, preparing filings, inventory closing and other related tasks.
Lessons:
Introduction
Bank reconciliations
Configure financial period close
Prepare periodic filings
Run foreign currency revaluation processes
Perform financial consolidations
Process end of year close
Practice Labs
Module summary
Module 27: Configure the Electronic Reporting Framework
In this module, learn how to configure Electronic Reporting (ER)
Lessons:
Introduction
Configure electronic reporting
Formula designer in electronic reporting
Practice Lab
Module summary
Module 28: Configure Localized Features
This module explains how to configure some examples of regional features in Finance and Operations.
Lessons:
Introduction
Localization and regulatory features
Classification of Mexican localization features
Understand the global tax engine
Module 29: Configure Financial Management for Public Sector
In this module, you will learn how to set up funds for the public sector, configure billing codes for free text invoices, advanced ledger entries functionalities for the public sector and understand bank reconciliation methods.
Lessons:
Introduction
Setup funds for the public sector
Setup derived financial hierarchies
Configure billing codes for free text invoices
Practice Labs
Module summary
Module 30: Course Conclusion
This module comprises final assessment and course summary, as well as a post-course survey for the course.