Aaja Nachle Song On Dailymotion


CUSTOMER SALES.

All we need to do is a.



Open Customer List in NAV and click on Show as chart d. Optionally, you can also select a z-axis measure at the left bottom and have a 3D chart. .wordpress.com
sales shown as chart This feature uses the Generic chart customization in the background. You can right click on the chart to see multiple options like save picture as, Print, customize etc., You can click on Customize which [Customize chart to change the Graph type, add titles, optional measures etc.


,] .wordpress.com
chart to change the Graph type, add titles, optional measures etc., need to save the chart under Generic charts.









Dynamics NAV has multiple generic charts out of the box built on table and query objects. We can also add more generic charts to this list. Generic charts are simple.

AUTOMATIC PAYMENT PROCESSING



You must routinely apply incoming and outgoing payments made on your electronic bank site with the related business documents in Microsoft Dynamics NAV and then post the applied payments to customer, vendor, and bank ledger entries to settle your payables and receivables accounts.


To quickly process payments based on bank statements, you can use an automatic application function in the General Journal window and you can specify rules that map payments to debit or credit accounts according to text found in the payment description. For more

MANUAL PAYMENT PROCESSING



The Payment Registration window shows incoming payments as lines that represent sales documents where an amount is due for payment. The window is designed to support you in tasks involved in balancing internal accounts with actual cash figures to ensure effective collection from customers. You can quickly verify and post individual or lump payments, initiate finance charges for overdue payments, process discounted payments in different scenarios, and find specific non-posted documents for which payment is made. For more information, topic in Application Help.

PROJECTS AT A GLANCE WITH THE VISUAL JOBS SCHEDULER



The Jobs View visualizes all jobs in one overview.


Hierarchically structured from the job down to job tasks as well as showing the according resources, the jobs become transparent for the project manager. In addition, the capacity of the resource is visualized in a histogram and provides information about potential or actual bottlenecks.







If you compare the above chart with the list view of the job task lines, provided by Microsoft Dynamics NAV, the benefit for the planner becomes obvious.

A NEW GANTT ADD-IN YIELDS VALUE FOR MICROSOFT DYNAMICS NAV



The Visual Jobs Scheduler netronic.com
change jobs, job tasks and job planning lines with an interactive complexity of projects becomes transparent and therefore more manageable. The planner can switch between a project-centric and a resource-oriented view. These two views reflect the different planning challenges of timeliness and proper resource allocation and utilization.


So the combination of both views provides the planner with comprehensive decision support information for changing or keeping job tasks and job planning lines.

GANTT CHARTS ARE THE FIRST CHOICE IN PROJECT MANAGEMENT



Every project manager knows and appreciates the value of a Gantt chart visualizes projects on a time-related basis and in a very structured way. It combines the view on the timeliness of activities with the view on the load of the resources. As such, a Gantt chart helps project planners to keep milestones under control and to quickly control, manage and modify their projects easily, quickly and comfortabley does not offer these intuitive project planning capabilities.

BANK RECONCILIATION



At regular intervals, you must reconcile your bank accounts in Microsoft Dynamics NAV by matching bank ledger entries resulting from posted payments with the related transactions on your electronic bank site. You can use either an automatic or a manual matching function in the Bank Acc.


Reconciliation window to reconcile bank accounts. The window is divided into two vertical panes for easy matching: Bank statement lines in the leftmost pane and bank account ledger entries to: Match Bank Statement Lines with Bank Account Ledger

.











Comments



Leave a Comment