80263

Multi Site Operations in
Microsoft Dynamics NAV 2009

Dynamics NAV Logo
Single: $795
Group: $9,995
1 day

About this Course

This one-day instructor-led course provides students with the knowledge and skills to set up and use all aspects of multisite functionality available for Microsoft Dynamics NAV 2009. This course demonstrates how to set up a consolidated company and its business units and how to perform a consolidation. The set up and use of the Intercompany Posting feature for companies that control more than one legal business entity is also described.

Audience Profile

This course is intended for individuals wanting to learn the basic features and to develop a working knowledge of the typical day-to-day procedures required to effectively use Multisite Operations in Microsoft Dynamics NAV 2009.

The class is targeted toward sales and purchase managers, salespeople and purchasers, and others in an organization responsible for the setup and administration of multisite functionality, including consolidation and intercompany postings.

Course Outline

Courses are often revised between versions. Please contact us for the most up-to-date course outline.

At Course Completion

After completing this course, students should be able to:

  • Understand instructions for set up demo data.
  • Explain the required setup in the consolidated company and subsidiaries to perform consolidation.
  • Explain and set up Business Units and the Business Unit Cards.
  • Create Dimensions in Consolidations.
  • Explain the process of exporting data from business units located in other databases.
  • Explain the processes of testing consolidation data from business units.
  • Explain and run the batch jobs used to process consolidation.
  • Explain and demonstrate the process of preparing and posting consolidation elimination entries.
  • Explain and run consolidation reports after the consolidation is completed.
  • Review the IC feature and prepare the database to complete Intercompany Postings.
  • Explain the IC Partner Card and the process of setting up an intercompany partner.
  • Assign an IC partner to a customer and/or vendor.
  • Set up the centralized IC Chart of Accounts to be used for IC transactions.
  • Set up the centralized IC dimensions to be used for IC transactions.
  • Explain the IC Outbox and IC Inbox used to transfer IC transactions.
  • Demonstrate the process of creating an IC document.
  • Explain the process of sending an IC transaction to an IC partner.
  • Explain the process of receiving and accepting an IC transaction from an IC partner.
  • Review handled incoming and outgoing IC transactions.
  • Explain the process of rejecting an IC transaction from an IC partner.
  • Explain the process of returning and canceling a rejected IC transaction from an IC partner.
  • Process IC transactions using the IC General Journal.