80222
Course 80222A:
Bank Reconciliation in
Microsoft Dynamics GP 2010
| Length: | 1 Days | | Published: | July 09, 2010(In development) | | Language(s): | English | | Audience(s): | Information Workers | | Level: | 200 | | Technology: | Microsoft Dynamics GP 2010 | | Type: | Course | | Delivery Method: | Instructor-led
(classroom) |
|
About this
Course
The one-day Microsoft Dynamics GP Bank Reconciliation course
explores the accounting cycle and the processes that are required to
manage cash receipts, cash disbursements, and other transactions that
affect checkbook balances. This course shows how to perform the
reconciliation process. This guarantees accuracy of your financial data
and its relation to your financial institution.
A thorough
understanding of these topics enables you to reconcile your checkbooks
with your bank statements, keeping information consistent and accurate.
You will learn to use comprehensive reporting features to preview data in
different ways before performing the reconciliation process, and how to
use the Checkbook Register report, which may be printed at any time. This
course also teaches you how to define default values that automatically
populate data fields and collect the information that you must have to
make better business decisions by exploring powerful inquiry and lookup
functions. |
Audience
Profile
This course is
intended for customers who want to learn the basic features and to develop
a working knowledge of the typical day-to-day procedures required to
effectively use Microsoft Dynamics GP Bank Reconciliation.
Bank
Reconciliation training is recommended for anyone who plans to implement,
use, maintain, consult, or support Microsoft Dynamics GP. The class is
targeted toward data entry clerks, administrators; office managers, CEOs,
and consultants who have to understand the technical aspects of Bank
Reconciliation and gain foundational knowledge of the application
functionality. |
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At Course
Completion
After completing
this course, students will be able to:
- Customize the setup of Bank
Reconciliation to fit their business needs.
- Perform all Bank Reconciliation
related data entry functions. This includes bank transactions, bank
deposits, and bank transfers.
- Perform maintenance on Bank
Reconciliation documents and records such checkbooks.
- Print standard reports for
audit trail purposes, financial analysis, and to verify data entry.
- Identify the impact of the Bank
Reconciliation module on other modules.
- Troubleshoot and correct input
errors, such as incorrect posting date or incorrect document amounts.
- Perform the bank reconciliation
process.
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Course
Outline
Module 1: Overview and Setup
Procedures
This module gives students a general overview
of the features and benefits of using the Bank Reconciliation module in an
integrated environment. It also focuses on the setup procedures for the Bank
Reconciliation module, and the options available to customize this module to
reflect the way your organization does business. The module also covers
entering beginning balances for each checkbook in preparation for suing the Bank
Reconciliation module.
Lessons
- Features and Benefits
- Bank Reconciliation Setup
- Checkbook Maintenance
- Transfer Existing Checkbooks to
Bank Reconciliation
Lab : Overview and Setup
Procedures
- Bank Reconciliation Setup
- Checkbook Setup
After completing this
module, students will be able to:
-
Identify the features and benefits available when using
Bank Reconciliation. -
Discuss integration that takes place between Bank
Reconciliation and other modules within the application. -
Identify the navigation used to access the windows for
transactions, reports, routines, and inquiries in Bank Reconciliation. -
Customize settings for the Bank Reconciliation
module. -
Set up checkbooks. -
Transfer existing checkbooks to Microsoft Dynamics GP to
begin using the Bank Reconciliation module. Module 2: Daily
Procedures
This module defines the ways that
transactions can be entered and posted in Bank Reconciliation. You explore the
different types of transactions, receipts, and deposits that may be entered in
this module. This module explains how each type of transaction may update
the cash balance in the General Ledger, the checkbook balance in Bank
Reconciliation, or both.
Lessons
- Transaction Types in Bank
Transaction Entry
- Enter Checks, Withdrawals, and
Adjustments
- Enter Receipt Transactions
- Miscellaneous Checks
- Bank Transfer Entry
- Deposits with Receipts
- Deposits without Receipts
- Clear Unused
Receipts
Lab : Daily
Procedures
- Entering an Outstanding
Check
- Entering a Check Transaction
- Entering a Cash Receipt
- Printing a Check
- Entering a Bank Transfer
- Entering a Deposit with
Receipts
- Entering a Deposit without
Receipts
After completing this
module, students will be able to: Module 3: Reconcile Bank
Statements
This module examines the
steps that are required to reconcile a checkbook to the bank
statement. The process to enter miscellaneous transactions and adjustments
during the reconcile process is covered in detail. Time is spent discussing the
transaction posting that occurs during the reconcile process.
Lessons
- Reconcile Bank Statements
- Selecting Bank Transactions
- Enter Adjustments and
Reconcile
Lab : Reconcile Bank
Statements
After completing this
module, students will be able to:
-
Reconcile a checkbook to the bank statement. -
Enter adjustments for miscellaneous transactions such as
service charges or interest earned. -
Account for cleared differences between the checkbook and
the bank. -
Print Reconciliation Preview reports. Module 4: Maintaining
Records
This module examines the
functionality available to maintain Bank Reconciliation records. The process to
void transactions, transfers, and deposits is covered in detail. Time is spent
discussing the procedure for changing and deleting records. How to remove
historical information from Microsoft Dynamics GP and the effects of removing
this history is demonstrated. Time is also spent discussing the inquiry windows
and reports that can be generated from the Bank Reconciliation module.
Lessons
- Voiding Transactions
- Deleting Checkbooks
- Removing History
- Using Inquiries
- Report Options and Printing
- Report Groups
- Report List
Lab : Maintaining
Records
After completing this
module, students will be able to:
-
Void bank transactions, transfers, and deposits. -
Change and delete checkbook records. -
Remove historical bank reconciliation information. -
Inquire and report on bank
information. Module 5: Appendix: Job
Aids
This appendix includes job aids that
are used in Bank Reconciliation. There is also a quiz to help evaluate what
topic areas may need to be revisited.
Module 6: Appendix: Case
Study
This case study is a comprehensive lab
that can be used to reinforce the learning that occurred throughout the Bank
Reconciliation class. |