General Ledger II in Microsoft Dynamics GP 9.0
Course 8597: One day;
Instructor-Led
On This Page
Introduction
The one day Microsoft Dynamics GP General Ledger
II course explores the accounting cycle and the processes required
to enter financial data into the system. As well, this course will
show you how to perform additional functions such as intercompany
transactions, using organizational structures, account level
security, and year-end closing procedures.
A thorough understanding of these topics allows
you to streamline monthly and year-end closing processes by learning
how to automate routine activities such as reports. In addition,
processes and functions that can increase efficiency and accuracy in
the daily procedures will be explored. This course will also teach
you how to maximize your reporting and analysis capabilities with
inquiries and reports that can be customized to meet your specific
business needs. You will learn tips for troubleshooting and
maintaining data integrity.
Audience
Customers who would like a more in-depth
understanding of the Microsoft Dynamics GP system.
The class is targeted toward data entry clerks,
administrators; office managers, CEOs, and consultants who need to
understand the technical aspects of Microsoft Dynamics GP General
Ledger and gain foundational knowledge of the application
functionality.
At Course Completion
After completing this course, students will be
able to:
| |
Customize General Ledger
posting settings. |
| |
Identify how data flows
through the General Ledger Work, Open, and History Tables. |
| |
Maintain records easily
and efficiently, utilizing a variety of functions. |
| |
Troubleshoot your
General Ledger data. |
| |
Create and maintain
budgets using Microsoft Excel - based Budgeting. |
| |
Configure and use
Organizational Structures to apply account level security. |
| |
Setup Intercompany to
automate intercom any transactions. |
| |
Use Inquiries, Reports,
and SmartList to easily access and customize financial
information to meet your company's needs. |
| |
Maximize easily
customized reporting through Smartlist. |
| |
Perform the period-end
and year-end closing procedures. |
Prerequisites
Before attending this course, students must have:
| |
Financial Series I
course or equivalent working experience with Microsoft
Dynamics GP |
Microsoft Certified Professional Exams
No Microsoft Certified Professional exams are
associated with this course currently.
Course Materials
The student kit includes a comprehensive workbook
and other necessary materials for this class.
Course Outline
Chapter 1: General Ledger Setup Procedures
This chapter focuses on the setup procedures for
the General Ledger module. We will examine how to customize account
categories and the posting setup to streamline the data entry
process. A big focus of this chapter is the use of fixed and
variable allocation accounts and how clearing entries may be used to
show details of the in and out entries involved in the allocation.
Main Topics
| |
General Ledger Setup |
| |
Account Categories |
| |
Posting Setup |
| |
Fixed Allocation Account
Setup |
| |
Variable Allocation
Accounts |
| |
Allocation Account
Alternatives |
Lab: Financial Posting Setup
| |
Activate batch approval
process |
| |
Enter and post journal
entry batch |
Lab: Fixed Allocation Account
| |
Set up a Fixed
Allocation Account |
| |
Enter and post
transaction for allocation account |
| |
Perform inquiry to
verify allocation |
Lab: Variable Allocation Account
| |
Set up a Variable
Allocation Account |
| |
Enter and post
transaction for allocation account |
| |
Perform inquiry to
verify allocation |
Lab: Allocation Account Alternative
| |
Create fixed allocation
account |
| |
Create posting account |
| |
Enter and post
transaction |
| |
Enter Clearing Entry |
| |
Perform inquiry to
verify entries |
After completing this chapter, students will be
able to:
| |
Set up the basic
information for General Ledger. |
| |
Customize Account
Categories to meet the needs of your company. |
| |
Configure Posting Setup
for General Ledger. |
| |
Set up and use Fixed
Allocation accounts to distribute percentages of a single
transaction among several distribution accounts. |
| |
Set up and use Variable
Allocation accounts to distribute percentages of a single
transaction among several distribution accounts based on the
relative balances of other posting or unit accounts. |
| |
Use Clearing Entries in
combination with variable allocation accounts to track the
details of the allocation in General Ledger. |
Chapter 2: General Ledger Data Flow
This chapter focuses on how data flows from the
Work to Open to History tables as transactions are posted and year
end procedures are performed. We will discuss the mechanisms used to
identify the source and status for all documents in the system. How
to retrieve information using the "zoom" feature instead of printing
reports is covered in this section.
Main Topics
| |
Integration |
| |
General Ledger Document
Status |
| |
Transaction Flow |
| |
Source Document Setup |
| |
Audit Trail Codes Setup |
| |
Tracing Transactions |
Lab: Tracing Transactions
| |
Enter and post accrual
transaction |
| |
Use zoom to verify
transaction reversal |
After completing this chapter, students will be
able to:
| |
Understand how data
flows from Work to Open to History tables. |
| |
Set up Source Document
IDs. |
| |
Set up Audit Trail
Codes. |
| |
Trace transactions using
Zooms. |
Chapter 3: General Ledger Advanced
Functionality
In this chapter we will discuss the advanced
functionality that is available in General Ledger. Multidimensional
Analysis provides increased reporting and analysis capabilities
without expanding your chart of accounts. Excel-Based Budgeting
enables budgets to be created in Microsoft Dynamics GP or Microsoft
Excel and then exported and imported between the two applications.
Another focus of this section is Intercompany processing which
allows transactions to be posted in one company that affect other
companies in the organization. Finally, Organizational Structures
and activating Account Level Security for users, user classes, and
accounts is discussed in detail in this chapter.
Main Topics
| |
Multidimensional
Analysis Overview |
| |
Setting up Analysis
Groups and Codes |
| |
Assigning Analysis
Groups to Accounts |
| |
Entering Transactions
with Multidimensional Information |
| |
Performing
Multidimensional Analysis Inquiry |
| |
Microsoft Excel-Based
Budgeting Overview |
| |
Creating a Budget with
the Budget Wizard |
| |
Exporting and Importing
Budgets |
| |
Intercompany Processing
Overview |
| |
Defining Intercompany
Relationships |
| |
Entering General Ledger
Intercompany Transactions |
| |
Post Intercompany
Transactions in Destination Companies |
| |
View the Intercompany
Transaction in Inquiry |
| |
Organizational
Structures Overview |
| |
Define Components of the
Organization |
| |
Define Organizational
Relationships |
| |
Assign User Classes to
the Organizational Structure |
| |
Assign Users to the
Organizational Structure |
| |
Assign a Range of
Accounts to the Organizational Structure |
| |
Assign an Individual
Account to the Organizational Structure |
| |
Activate Account
Security |
Lab: Multidimensional Analysis
| |
Create analysis group |
| |
Create analysis codes |
| |
Assign analysis group to
accounts |
| |
Enter and post
transaction using Multidimensional Analysis |
| |
Perform inquiry on
analysis information |
Lab: Create a Budget in Microsoft Excel
| |
Create a budget using
the Budget Wizard for Microsoft Excel |
Lab: Modifying a Budget in Microsoft Excel and
Importing back to Microsoft Dynamics GP
| |
Update existing budget
in Microsoft Excel |
| |
Import the budget into
Microsoft Dynamics GP |
Lab: Intercompany Posting Account Setup
| |
Create intercompany
posting accounts |
| |
Enter and post an
intercompany transaction |
| |
Post intercompany
transaction in destination company |
Lab: Organizational Structure Setup
| |
Set up a company’s
organizational structure |
| |
Set up the organization
tree relationships |
| |
Assign users to the
organizational structure |
| |
Assign Account Level
Security |
| |
Test the Account Level
Security |
After completing this chapter, students will be
able to:
| |
Use Multidimensional
Analysis to track additional information on account
transactions. |
| |
Use Microsoft Dynamics
GP Budget for Microsoft Excel to create budgets and import
or export into Microsoft Dynamics GP. |
| |
Use Intercompany
transactions to record transactions that involve two or more
companies. |
| |
Set up and use
Organizational Structures. |
Chapter 4: Maintaining Records
This chapter examines the functionality available
to maintain your General Ledger records. There is also a section
that focuses on correcting posted entries as well as changing and
deleting records. Time is also spent discussing how to remove
General Ledger history and the types of history information stored
in the system.
Main Topics
| |
Correcting Transactions |
| |
Posting to History |
| |
Changing and Deleting
Posting and Unit Accounts |
| |
Changing and Deleting
Allocation Accounts |
| |
Remove History |
Lab: Posting to History
| |
Verify setting for
posting to history |
| |
Post adjusting entries |
Lab: Correcting Entry (Date and Amount Errors)
| |
Post journal entry |
| |
Post correcting entry |
| |
Use inquiry to verify
entries are correct |
After completing this chapter, students will be
able to:
| |
Correct posted entries. |
| |
Post transactions to
History. |
| |
Change and delete
records. |
| |
Remove General Ledger
history. |
Chapter 5: GL Inquiry and SmartList
This chapter focuses on the multiple methods for
quick and easy information retrieval. The Inquiry and SmartList
functions provide numerous ways to instantly view relevant summary
and detail information about account activity and transactions. We
will also look at exporting SmartList queries to Microsoft Excel or
Microsoft Word.
Main Topics
Lab: Inquiry: Drilldown to Originating
Transaction
| |
Use Budget vs. Actual
Inquiry window |
| |
Drill down to source
document |
Lab: SmartList: Simple Chart of Accounts
| |
Create SmartList query |
| |
Save query to Favorites |
| |
Export query to
Microsoft Excel |
Lab: SmartList: A/R Reconciliation
| |
Create SmartList query |
| |
Save query to Favorites |
Lab: SmartList: Drilldown to Originating
Transaction
| |
Create restriction for
default query |
| |
Drill down to original
transaction |
After completing this chapter, students will be
able to:
| |
Perform Summary and
Detailed inquiries for current and historical accounts. |
| |
Perform inquiries on a
specific journal entry. |
| |
Perform inquiries on
budget information. |
| |
Use SmartList to perform
queries on General Ledger data. |
Chapter 6: General Ledger Reports
This chapter focuses on how to create report
options which may be grouped together to print multiple reports
within a series or combined to print reports containing data from
multiple series to maximize reporting capabilities for your
financial data. Reports can be very useful in locating discrepancies
that need to be corrected. Time is spent discussing how to utilize
the trial balance and cross reference reports to analyze general
ledger data.
Main Topics
| |
Creating Report Options |
| |
Creating and Printing
Report Groups |
| |
Creating and Printing
Combined Groups |
| |
Cross Reference Reports |
| |
Trial Balance Reports |
Lab: Cross Reference Report by Audit Trail Code
| |
Enter and post journal
entry |
| |
Create a Cross Reference
Report by Audit Trail Code |
| |
Determine additional
ways to get similar information |
Lab: Trial Balance Report
| |
Create a Detailed Trial
Balance Report |
| |
Analyze report totals
and reasons for incorrect totals |
Lab: Using a Cross Reference Report to Analyze
Information
| |
Print a cross-reference
report |
| |
Determine corrective
action to complete reconciliation |
After completing this chapter, students will be
able to:
| |
Create report options. |
| |
Create and print report
groups. |
| |
Create and print
combined report groups. |
| |
Print Cross-Reference
reports. |
| |
Print a Trial Balance
Report. |
Chapter 7: Period-End Procedures
This chapter examines the process of closing an
accounting period. The steps necessary to complete each phase of the
closing process are discussed in detail. We will look at the reports
and financial statements that should be printed before performing
the closing process. Time is spent examining what actually takes
place during the closing process and how to use the Mass Close
window to close specific transaction types while others remain open
for a period.
Main Topics
| |
Period-end Closing
Checklist |
| |
Printing Financial
Statements and Reports |
| |
Consolidating a Period |
| |
Closing the Fiscal
Period |
Lab: Period-end Closing
| |
Verify all transactions
have been posted for the period |
| |
Print financial
statements |
| |
Print Detailed Trial
Balance |
| |
Close the Fiscal Period |
After completing this chapter, students will be
able to:
| |
Complete the processes
that are performed at the end of an accounting period. |
| |
Consolidate periods and
be aware of the effects of performing the consolidation
process. |
| |
Use the Mass Close
option to close specific transaction origin types for a
period. |
Chapter 8: General Ledger Year-End Closing
Procedures
This chapter examines the process of closing the
fiscal year. The steps necessary to complete each phase of the
closing process are discussed in detail. We will look at the reports
and financial statements that should be printed before performing
the closing process. Time is spent examining what actually takes
place during the closing process and the two approaches that an
organization may use for this process. Steps are provided in the
event that the year end closing is performed and an account has been
assigned the wrong posting type and is closed incorrectly.
Main Topics
| |
Overview |
| |
Year-end Closing
Checklist |
| |
Post Adjusting Entries |
| |
Verify Posting Type |
| |
Year-end Closing |
| |
Balance Sheet Accounts
Set up as Profit and Loss Accounts |
Lab: Year-end Closing
| |
Perform year-end closing
routines in all other modules |
| |
Verify all final
adjustments have been posted |
| |
Print an Account List |
| |
Perform File Maintenance
for the Financial Series |
| |
Print the General Ledger
Summary Trial Balance report |
| |
Print Financial
Statements |
| |
Set up a new fiscal year |
| |
Close the fiscal year |
| |
Print Detailed Trial
Balance and Financial Statements |
| |
Close all Fiscal Periods |
After completing this chapter, students will be
able to:
| |
Complete the steps
necessary to close a year in General Ledger. |
| |
Set up a special period
for posting adjusting entries. |
| |
Set up posting for the
closing entry to Divisional Retained Earnings accounts. |
| |
Correct the situation
where an account had the wrong posting type when the year
end closing was performed. |
Chapter 9: General Ledger Troubleshooting
This chapter will focus on techniques available
for troubleshooting problems that may arise during posting or
year-end processing. We will look at the automated fixes that are
available on the Customer Source website and the Batch Recovery
process for releasing "stuck" batches. A section of commonly asked
questions about General Ledger transactions is included in this
section.
Main Topics
| |
Posting Interruptions |
| |
Automated Fixes |
| |
Batch Recovery |
| |
Reconcile |
| |
One-sided Entries |
| |
Year-end Closing
Interruption |
| |
Commonly Asked Questions |
Lab: Reconcile Fiscal Periods
| |
Modify fiscal year
starting and ending dates |
| |
Reconcile fiscal years |
| |
Verify account balances |
Lab: Reconcile Posting Numbers
| |
Enable Posting Numbers |
| |
Reconcile posting
numbers |
After completing this chapter, students will be
able to:
| |
Properly recover data
after a posting interruption. |
| |
Use the Automated Fixes
on Customer Source to correct common problems. |
| |
Recover a batch that has
become "stuck" in the system. |
| |
Reconcile General Ledger
account information. |
| |
Create a "one-sided"
entry to correct an error that occurred because of a posting
interruption. |
Chapter 10: Conclusion
In this chapter we will discuss the key points
that have been covered throughout this course.
Main Topics
| |
Customize General Ledger
posting settings |
| |
Identify Work, Open, and
History tables |
| |
Use fixed and variable
allocation accounts to distribute amounts to breakdown
accounts during transaction entry |
| |
Post transactions to a
historical year and automatically adjust the balance of the
retained earnings account or the beginning balance brought
forward for an account |
| |
Use the inquiry windows
to view open, history, or net change activity for an account |
| |
Use SmartList to access
accounting data and export to Microsoft Word or Microsoft
Excel |
| |
Print cross reference
reports to research transactions by various criteria |
| |
Prevent transactions
from being posted to a specific accounting period by marking
it as closed |
| |
Perform the year end
closing process and retain the ability to post adjusting
entries to the most recent historical year |
| |
Create budgets in
Microsoft Dynamics GP, export or import from Microsoft Excel |
| |
Use Organizational
structures to define the components of your organization and
their relationship |
| |
Record intercompany
transactions that occur in one company and will create
transactions in another company's General Ledger |
Appendix A: Smart Tags
This section contains information on Smart Tags or
links between Microsoft Office documents and data in Microsoft
Dynamics GP. The items that may be recognized and "tagged" in
Microsoft Office XP are discussed in the section. The focus of this
section is to highlight the benefits of Smart Tags and how you can
use them in your business.
Main Topics
| |
How Smart Tags work |
| |
Smart Tag Benefits |
After completing this chapter, students will be
able to:
| |
Understand how Smart
Tags work. |
| |
Recognize the ways Smart
Tags can make your business more productive. |
Appendix B: Professional Service Tools Library
This chapter contains information on the
Professional Services Tools Library and how it can provide help for
users to consolidate and change critical data-quickly and
accurately. Users can purchase tool individually, select any three
tools or purchase the entire library.
Main Topics
| |
Financial Series Tools |
| |
Purchase Series Tools |
| |
Sales Series Tools |
| |
Payroll Series Tools |
| |
Inventory Tools |
| |
System tools |
| |
Tools Available
Separately |
| |
Related Service
Offerings |
After completing this chapter, students will be
able to:
| |
Understand the tools
that are available in the Professional Service Tools Library
and how they can be used in your organization. |