NAVUG Academy offers Dynamics NAV Training Series for Finance TeamsPosted: March 9, 2016
If you are looking for finance-related training for yourself or your team, NAVUG Academy is offering a fantastic series of classes just for you! The first class in this years’ series is coming up next week. Get signed up for this first class on Financial Setups in NAV soon before we run out of spots!
If you just can’t make next week’s class, be sure to get the next classes in the series on your calendars. My complete list of 2016 classes is listed on this blog, so feel free to bookmark this page. I’ll see you there!
Financial Setups in NAV
March 16, 2016 9:00 AM to 1:00 PM EST
Get under the hood to understand the inner workings of financial setups in Microsoft Dynamics NAV. This class covers all the basics you need to understand for how the financial management area can be configured. Whether you’re new to NAV, a prospective customer deciding if NAV is the right fit for your company, a Controller or CFO who is new to a company already using NAV, or even an experienced NAV user who wants to know how to maximize your software, this class will get you the foundation you need to make important configuration decisions regarding your ERP software.
Fixed Asset Management for NAV
April 14, 2016 1:00 PM to 5:00 PM EST
If you’re using Fixed Assets in NAV or are investigating what this module can do for you, don’t miss this comprehensive review. In this fast-paced class, we’ll review the best practices and gotchas with setup, walk through the life cycle of an asset, cover how to handle maintenance and insurance, and of course the all-important fixed assets reports.
Inventory Reconciliation for Dynamics NAV
May 19, 2016 1:00 PM to 5:00 PM EST
Does the inventory detail on your item cards agree to your General ledger totals? Are you mystified at the end of each month why it doesn’t agree and don’t even know where to start with reconciling your inventory? This class is to gain an understanding of inventory and how transactions affect the general ledger in order for you to correct transactions so you can bring the inventory subsidiary ledger into balance with the general ledger.
Posting Groups and Dimensions in NAV
June 15, 2016 9:00 AM to 1:00 PM EST
Posting Groups and Dimensions are important features of your NAV product that work in the background to get all of your company’s transactions to the right place in your database. Often a set-and-forget feature, they are also frequently misunderstood. Find out what the differences are between posting groups and dimensions and how you can use them both in different ways to gain control, consistency, accuracy, and efficiency in your financial postings and make your financial reporting not only flexible but powerful at the same time.
Financial Reporting Using Account Schedules
November 9, 2016 9:00 AM to 1:00 PM EST
Microsoft Dynamics NAV account schedules are a powerful tool used to create custom financial statements directly from your general ledger. In this in-depth training session, you will learn the fundamental principles of account schedule construction.
Month End, Year End, and Budgeting in NAV
December 14, 2016 9:00 AM to 1:00 PM EST
Here’s your chance for a review of best practices for month end, year end, and budgeting in Microsoft Dynamics NAV. This class will go through best practices for each of these three important year-end activities. Take a moment to refresh your memory on how to do some of these tasks that we often touch only once a year and pick up some new tips for making these processes go smoothly along the way.