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Posts Tagged ‘Bank Deposits’

Bank Deposit, Bank Transactions, & Reconcile Bank Statement Windows in Microsoft Dynamics GP

In Dynamics GP there are a few windows related to cash receipt, bank activity and reconciliation of bank statements; below is a breakdown of each window: Bank Deposit – enter a deposit of funds (with or without receipt) that updates the checkbook Cash Receipt Entry – recording of funds received from a customer Bank Transactions […]

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Dynamics GP: Why Aren’t My Cash Receipts Displaying in The Bank Reconciliation?

Often, clients will ask why a particular Cash Receipt is not displaying in the Bank Reconciliation when it comes time to close the month.  Many times, users will forget that a Bank Deposit is required before the transactions will display in the Chequebook subledger.  This is an important security step as the  person receiving funds […]

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