Hi,
I searched around the forum, but since I couldn't find my answer I'm creating a new post.
I'm currently looking for a detailed manual or whitepaper on how NAV's Posting Group works in determining which G/L Account is used, when transactions are posted in the system.
I can do testing one by one to get my conclusion, but was wondering if Microsoft (or other 3rd parties) ever published such document.
Please let me know.
Thank you.
0
Comments
"how NAV's Posting Group works in determining which G/L Account is used, when transactions are posted in the system."
In G/L -> General Posting Groups -> General Posting setup (YOU set the g/l accounts)
Can you specify what problem you are having with posting groups?
http://www.BiloBeauty.com
http://www.autismspeaks.org
Thank you.
Maybe this can help you?
http://www.dynamicsnavconsultant.com/20 ... e-cpa-way/
What other details are you missing? It'll give me some ideas to blog about.
AP Commerce, Inc. = where I work
Getting Started with Dynamics NAV 2013 Application Development = my book
Implementing Microsoft Dynamics NAV - 3rd Edition = my 2nd book