Course 8829A:

Cash Manager in Microsoft Dynamics SL 7.0

Length: 1 Days
Published: August 01, 2007
Language(s): English
Audience(s): Information Workers
Level: 200
Technology: Microsoft Dynamics SL 7.0
Type: Course
Delivery Method: Instructor-led (classroom)

About this Course
This one-day course explores the features and benefits of the Microsoft Dynamics SL Cash Manager module. Students discuss how to classify transactions by account type, view cash balances, reconcile bank accounts, and project cash flows.
Understanding these topics allows students to access current cash balance information instantly while entering transactions, which may help with tracking what is in the bank on a daily basis. The course also includes: transfering funds between different cash accounts, managing money effectively while accurately displaying critical information at a moment's notice, reconciling bank statements according to schedule and business demands, and assembling daily cash balances from subsidiary databases into a "consolidated" database, so cash account balances for the entire organization are available to view in one application.
Students reconcile at the check/deposit level and enter transactions that affect cash but are not captured in other Microsoft Dynamics SL modules, such as bank service charges, wire transfers, or other cash transaction types. This is an essential course for all end-users, consultants, and implementers who want to learn about this core module of the Microsoft Dynamics SL Financial system.
Classroom training provides in-depth learning via hands-on interaction. Through demonstrations, presentations, and classroom activities, students can receive hands-on experience with instruction from our certified staff and increase productivity and efficiency by learning tips and tricks from product specialists.
Audience Profile
Cash Manager training is recommended for anyone who plans to implement, use, maintain, consult, or support Microsoft Dynamics SL. The course is targeted toward data entry clerks, administrators, office managers, CEOs, and consultants who need to understand the technical aspects of Cash Manager and gain foundational knowledge of the application functionality.
At Course Completion
Course completion objectives are:
  • Ledger accounts.
  • View the results of the transactions and Daily Cash Balances.
  • Identify the appropriate use for the Reconciling options for the batches entered in Cash Account Transactions.
  • Perform the Bank Reconciliation process to reconcile Cash Manager balances to a bank statement.
  • Reconcile checks and deposits from Accounts Payable, Payroll, and Accounts Receivable.
  • Set up the Bank Reconciliation Import function.
  • Perform Cash Forecasting using what-if transactions and scenarios.
  • Troubleshoot and correct operator input errors including incorrect period to post, entries to incorrect accounts, and understanding transactions created in related modules and their effect on the Cash Manager account balances.
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