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Cash and Bank Management in Microsoft Dynamics ® AX 2012
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Page 1: Cash and Bank Management in Microsoft Dynamics ® AX 2012.

Cash and Bank Management in Microsoft Dynamics® AX 2012

Page 2: Cash and Bank Management in Microsoft Dynamics ® AX 2012.

Value Proposition

Provides flexible configuration options for setup and maintenance of banks and bank accounts

Records the inflows and outflows of currency within your organization

Facilitates the reconciliation of financial transactions to the bank statement

Set up, calculate, view, and print cash flow forecasts

Page 3: Cash and Bank Management in Microsoft Dynamics ® AX 2012.

Bank Processing

Accounts Payable

Payments

Accounts Receivable

DepositsRefund of Payments

General Ledger

Bank Transfers

Page 4: Cash and Bank Management in Microsoft Dynamics ® AX 2012.

© 2011 Microsoft Corporation. All rights reserved. Microsoft, Microsoft Dynamics, and the Microsoft Dynamics logo are trademarks of the Microsoft group of companies. The information herein is for informational purposes only and represents the current view of Microsoft Corporation as of the date of this

presentation. Because Microsoft must respond to changing market conditions, it should not be interpreted to be a commitment on the part of Microsoft, and Microsoft

cannot guarantee the accuracy of any information provided after the date of this presentation.

MICROSOFT MAKES NO WARRANTIES, EXPRESS, IMPLIED OR STATUTORY, AS TO THE INFORMATION IN THIS PRESENTATION.

CCAX2012BV036