Book Image

Microsoft Dynamics GP 2010 Cookbook

By : Mark Polino
Book Image

Microsoft Dynamics GP 2010 Cookbook

By: Mark Polino

Overview of this book

Microsoft Dynamics GP is an Enterprise Resource Planning system, essentially an accounting system on steroids, designed for mid-sized organizations. The implementation of Dynamics GP is usually considered to be complex, and people often realize there must be more efficient ways of working with the system. This book will show readers how to improve their use of Dynamics GP and get the most out of this tool quickly and effectively.This book picks up where implementation training leaves off. Whether you are new or experienced you will find useful recipes for improving the way you use and work with Dynamics GP. The clear recipe steps and screenshots make implementing these solutions easy for users of any level and will be sure to improve your efficiency with the Dynamics GP system.The book starts with recipes designed to enhance the usefulness of Microsoft Dynamics GP by personalizing the look and feel of the application. Most of the recipes are designed to give tips for a typical installation of Dynamics GP, including core financials and distribution modules. The book then moves through recipes that include automating Dynamics GP to allow users or administrators to focus on value adding tasks, harnessing the power of SmartLists to leverage both simplicity and power, connecting Dynamics GP to Microsoft Office 2007, exposing hidden features in Dynamics GP, and much more!By following the clear recipe steps and screenshots in this book, you will learn what is required to improve your efficiency with the Dynamics GP system
Table of Contents (17 chapters)
Microsoft Dynamics GP 2010 Cookbook
Credits
About the Author
Acknowledgement
About the Reviewers
Preface
Index

Reducing out-of-balance problems with Allow Account Entry


Balancing subledgers such as accounts payable or accounts receivable to the general ledger (GL) can be a time-consuming process at period end. A common reason that a subledger doesn't match the corresponding account in the general ledger is that a user has made an entry directly to the general ledger.

Transactions in Dynamics GP generally flow down from subledgers into the general ledger. With rare exceptions, transactions made in the general ledger do not flow back upstream to a subledger. This means that when users make an entry directly to a general ledger account the information doesn't flow back up to a related subledger, resulting in an out-of-balance situation.

A scenario like this is easily prevented by disabling an often overlooked feature known as Allow Account Entry. Disabling the Allow Account Entry setting prevents entries directly to the general ledger for certain accounts. When this feature is deactivated for an account...