by Bel Yu | Sep 5, 2023 | Blog
Bank reconciliation helps ensure that what is in your books matches the statements you receive from your bank. It compares and matches entries in the bank accounts you’ve set up in Business Central with bank transactions at your bank. It is also a practical way...
by Bel Yu | Aug 16, 2023 | Blog
It is essential to maintain and monitor the integrity of the data that is being entered in Dynamics 365 Business Central. This is to ensure the accuracy and reliability of the information that is available in the system. The Change Log Setup in Business Central (BC)...
by Irene Reglos | Aug 1, 2023 | Blog
Microsoft Dynamics 365 Business Central has several ways to record raw materials consumption on a production order. These are called flushing methods. Flushing Methods are only available on a Business Central Premium Core License with the Production Management module...
by Katrine Ng | Jun 21, 2023 | Blog
As financial year-end approaches for most businesses, let’s look at the necessary setup and steps for running year-end processes in Microsoft Dynamics 365 Business Central. You can also read the month-end tasks to close the accounting period, which should be done...
by Katrine Ng | Jun 21, 2023 | Blog
In standard Microsoft Dynamics 365 Business Central or NAV there is no “hard-close” for a month-end. However, there are many accounting period activities that can be completed. This blog provides a high level of elective processes and tasks for closing period within...
by EBS Team | May 2, 2023 | Blog
Microsoft Dynamics 365 Business Central is a powerful enterprise resource planning (ERP) system that offers robust multi-currency processing capabilities. With this functionality, you can easily process transactions for customers, vendors, and bank accounts using...