Bank reconciliation: Implementation considerations

Microsoft Dynamics AX 2012 R2 adds functionality to import an electronic bank statement and use it to reconcile the bank account. This white paper focuses on the business scenarios related to bank reconciliation and the steps to take in each scenario. If you are new to bank reconciliation functionality in Microsoft Dynamics AX 2012 R2, you should read the material listed below.

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Financial consolidations and currency translation

This white paper shows the approach Management Reporter and Microsoft Dynamics AX 2012 use to consolidate multi-company and multi-currency data. It is intended for finance and accounting end users and application consultants.

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