Home
Client Login
Remote Support
About CCS
Contact
Sitemap
Infrastructure Technology Microsoft Dynamics GP Hosted Services Disaster Recovery Solution [DRS] Managed Services [Net-Assure]
» Overview
      » Business Needs
» Capabilities
      » Business Intelligence
      » Business Productivity
      » Collaboration
      » Compliance
      » Financial Management
      » Human Resources
      » IT Management
      » Supply Chain Management
» Using Microsoft Dynamics GP
      » Analytics And Reporting
      » Business Portal
      » Financials
      » Human Resources And Payroll
      » Inventory And Order Processing
      » Manufacturing
      » Not For Profit
      » Project Management
      » Region-Specific Features
      » System And Utilities

Financials Resources for Microsoft Dynamics GP

Right-click the links and select Save Target As to save any documents you choose.

Bank Reconciliation

Describes how to set up, enter, and maintain cash receipts and disbursements, and how to enter additional transactions that affect checkbook balances and reconciliation processes. Also describes how to analyze transaction information and complete routine maintenance procedures. (74 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Cash Flow Management

Explains how to set up cash flow forecasts and enter cash flow transactions. Also includes inquiry and reporting information. (17 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Cashbook Bank Management

Explains how to set up Cashbook Bank Management, which you can use to manage your banking information, import bank statements into Microsoft Dynamics GP, and reconcile transactions. Describes how to enter and reconcile information, and includes inquiry, reporting, and routine procedure information. (108 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Collections Management

Explains how to set up and use Collections Management to track customers who meet specific account criteria, send collection letters, and view customer collection information. (50 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Electronic Bank Management

Explains how to set up Electronic Bank Management to enter or import all the transactions that appear on your bank statement. Describes how to enter and reconcile information, and includes inquiry, reporting, and routine procedure information. (64 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Electronic Banking

Explains how to set up and use Electronic Funds Transfer (EFT) and European EFT for Payables Management, EFT and Direct Debits and Refunds for Receivables Management, Electronic Reconcile, and Safe Pay. You can use Electronic Banking to pay vendors electronically, create direct debit transactions for customers, reconcile checkbooks, and confirm the authenticity of checks with your bank. (83 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Fixed Assets Management

Explains how to set up assets, account groups, physical locations, and other information to manage your asset records. Includes information about transactions, routine procedures, integrations, inquiries, and reports. (156 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

General Ledger

Describes how to set up, enter, and maintain account records and transactions. Explains the various types of accounts and how to set up a chart of accounts, enter beginning balances and history, and set up budgets. Also includes information about revenue and expense deferrals, reports, and routine procedures. (194 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

GST and Australian Taxes

Explains how to install the Australian tax features, and set up and use Goods and Services Tax (GST), Pay As You Go, Business Activity Statement reports, and Pay As You Go reports. Also describes how to enter and view tax information. (100 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Intercompany Processing

Explains how to set up, enter, and maintain relationships between companies, and enter transactions in one company that create transactions in another company's general ledger. Also describes posting and other routine procedures. (38 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Multicurrency Management

Describes how to set up and maintain Multicurrency Management, currencies, and exchange rates. Also describes reporting functions and maintenance procedures, such as recognizing gains and losses. (60 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Multidimensional Analysis

Explains how to set up and maintain analysis codes and groups, and how to automatically apply information to transaction distributions. (32 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Multilingual Checks

Explains how to set up and use Multilingual Checks, which you can use to print check amounts in words, in languages other than the system language. (20 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Payables Management

Describes how to set up and maintain vendor information, enter and post transactions and batches, report on payables activity, and complete period- and year-end procedures. Also includes scheduled payments and customer/vendor consolidations information. (154 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Payment Document Management

Explains how to set up your system to enter sales and purchasing transactions using payment methods other than cash, checks, and credit cards, such as particular payment documents used in some European and Latin American countries. (42 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Receivables Management

Explains how to set up, enter, and maintain customer records, sales territory records, salesperson records, and transactions. Describes how to analyze and report on information and complete period- and year-end procedures. Also includes scheduled payments, refund checks, customer/vendor consolidations, and lockbox processing information. (224 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Scheduled Installments

Explains how to set up and use Scheduled Instalments, which you can use to split the total amount of an invoice into two amounts due on different days. (20 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Administrator and user guide for Business Portal

Electronic Document Delivery

Explains how to set up and administer Electronic Document Delivery, which you can use to send invoice, credit memo, debit memo, finance charge, and return documents to your customers via Email or a Web service. (40 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Sample reports

Collections Management Sample Reports

Includes samples of and information about some of the more common Collections Management reports. (27 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Fixed Asset Management Sample Reports

Includes samples of and information about some of the more common Fixed Asset Management reports. (47 pp.)

Adobe Portable Document File (PDF) XML Paper Specification (XPS)

Home

Infrastructure Technology

Microsoft Dynamics GP

Hosted Services

Disaster Recovery Solution [DRS]

Managed Services [Net-Assure]

Client Login

Remote Support

About CCS

Contact

Sitemap

News

Blogs

See all of our partners »

©2010 CCS Business Solutions, Inc., All rights reserved.  |  4140 Holiday Street NW, Canton, OH 44718, Phone 330.493.5600, Fax 330.493.5611  |  Privacy Policy