Dynamics NAV 2015

  1. Set up balancing accounts, number series, and reason codes in the journals that you use for bookkeeping tasks, such as cash ...
  2. Set up codes for your different types of business transactions, so that you can track the source of the transactions in an ...
  3. Set up codes that specify reasons why entries were created, such as Return, to specify why a purchase credit memo was posted. ...
  4. Set up combinations of general business and general product posting groups by specifying account numbers for posting of sales ...
  5. Set up combinations of VAT business posting groups and VAT product posting groups by specifying a VAT percent, a VAT calculation ...
  6. Set up default dimensions for the customer, such as an area or customer group code. You can assign dimension codes to transactions ...
  7. Set up default dimensions for the item, such as a department or project code. You can assign dimension codes to transactions ...
  8. Set up default dimensions for the selected customer, such as an area or customer group code. You can assign dimension codes ...
  9. Set up default dimensions for the vendor, such as an area or vendor group code. You can assign dimension codes to transactions ...
  10. Set up default dimensions, such as a department or project code, for one or multiple selected items. You can assign dimension ...
  11. Set up different asset subclasses, such as Plant and Property and Machinery and Equipment, that you can assign to fixed assets ...
  12. Set up different discounts applied to invoices for the selected customer. An invoice discount is automatically granted to ...
  13. Set up different discounts for items that you buy from the selected vendor. An item discount is automatically granted on ...
  14. Set up different discounts for items that you buy from the vendor. An item discount is automatically granted on invoice lines ...
  15. Set up different discounts for items that you sell to the customer. An item discount is automatically granted on invoice ...
  16. Set up different discounts for items that you sell to the selected customer. An item discount is automatically granted on ...
  17. Set up different discounts for the item. An item discount is automatically granted on invoice lines when the specified criteria ...
  18. Set up different discounts for the selected item. An item discount is automatically granted on invoice lines when the specified ...
  19. Set up different discounts that are applied to invoices for the customer. An invoice discount is automatically granted to ...
  20. Set up different discounts that the selected vendor grants you. An invoice discount is automatically granted when the total ...
  21. Set up different discounts that the vendor grants you. An invoice discount is automatically granted when the total on a purchase ...
  22. Set up different prices for items that you buy from the selected vendor. An item price is automatically granted on invoice ...
  23. Set up different prices for items that you buy from the vendor. An item price is automatically granted on invoice lines when ...
  24. Set up different prices for items that you sell to the customer. An item price is automatically granted on invoice lines ...
  25. Set up different prices for items that you sell to the selected customer. An item price is automatically granted on invoice ...
  26. Set up different prices for the item. An item price is automatically granted on invoice lines when the specified criteria ...
  27. Set up different prices for the selected item. An item price is automatically used on invoice lines when the specified criteria ...
  28. Set up discount group codes that you can use as criteria when you define special discounts on a customer, vendor, or item ...
  29. Set up links between inventory posting groups, inventory locations, and general ledger accounts to define where transactions ...
  30. Set up number series and reason codes in the journal that you use to reclassify fixed assets. By using different templates ...
  31. Set up number series and reason codes in the journals that you use for fixed asset posting. By using different templates ...
  32. Set up number series and reason codes in the journals that you use for inventory adjustment. By using different templates ...
  33. Set up one or more alternate addresses from where you can buy items from the vendor. You can then enter an alternate address ...
  34. Set up periods in combinations with your accounting periods that define when you can post transactions that affect the value ...
  35. Set up posting groups that you assign to your bank accounts, so that payments in and out of the bank account are posted to ...
  36. Set up recurring purchase lines for the vendor, such as a monthly replenishment order, that can quickly be inserted on a ...
  37. Set up recurring sales lines for the customer, such as a monthly replenishment order, that can quickly be inserted on a sales ...
  38. Set up reminder terms that you select from on customer cards to define when and how to remind the customer of late payments. ...
  39. Set up the accounts to which transactions are posted for fixed assets for each posting group, so that you can assign them ...
  40. Set up the country/regions where your different business partners are located, so that you can assign Country/Region codes ...
  41. Set up the customer's own identification of items that you sell to the customer. Cross-references to the customer's item ...
  42. Set up the department and project dimensions that you can assign to sales and purchase documents for financial analysis of ...
  43. Set up the different currencies that you trade in by defining which general ledger accounts the involved transactions are ...
  44. Set up the employees who will work in Microsoft Dynamics NAV (C5). The employees must already be set up as Windows users ...
  45. Set up the finance charge terms that you select from on customer cards to define how to calculate interest in case the customer's ...
  46. Set up the formats for exporting vendor payments, such as Giro and FIK. Set up the formats for importing bank statements, ...
  47. Set up the item-type posting groups that you assign to customer and vendor cards to link transactions with the appropriate ...
  48. Set up the item-type posting groups that you assign to customer and vendor cards to link VAT amounts with the appropriate ...
  49. Set up the journal template that will be used to create general journal lines from electronic external documents, such as ...
  50. Set up the languages that are spoken by your different business partners, so that you can print item names or descriptions ...
  51. Set up the number series from which a new number is automatically assigned to new cards and documents, such as item cards ...
  52. Set up the payment journal template and the balancing account that is used to post received customer payments. Define how ...
  53. Set up the payment methods that you select from on customer cards to define how the customer must pay, such as by bank transfer. ...
  54. Set up the payment terms that you select from on customer cards to define when the customer must pay, such as within 14 days. ...
  55. Set up the posting groups that you assign to item cards to link business transactions made for the item with an inventory ...
  56. Set up the posting groups to select from when you set up customer cards to link business transactions made for the customer ...
  57. Set up the posting groups to select from when you set up vendor cards to link business transactions made for the vendor with ...
  58. Set up the trade-type posting groups that you assign to customer and vendor cards to link transactions with the appropriate ...
  59. Set up the trade-type posting groups that you assign to customer and vendor cards to link VAT amounts with the appropriate ...
  60. Set up the units of measure, such as DAY or HOUR, that you can select from in the Human Resources Setup window to define ...
  61. Set up the units of measure, such as PSC or HOUR, that you can select from in the Item Units of Measure window that you access ...
  62. Set up the vendor's own identification of items that you buy from the vendor. Cross-references to the vendor's item number ...
  63. Set up translated item descriptions for the selected item. Translated item descriptions are automatically inserted on documents ...
  64. Set up translated item descriptions. Translated item descriptions are automatically inserted on documents according to the ...
  65. Setup has detected that another version of Microsoft Dynamics NAV is already installed on this computer. You must uninstall ...
  66. Setup must update files or services that cannot be updated while the system is running. If you choose to continue, then a ...
  67. Setup was unable to automatically close all applications that are using files that need to be updated. If you choose to continue, ...
  68. Show a field to specify an alternate currency. You can specify a currency that is different than your local currency for ...
  69. Show all entities that exist for the page. The list of entities may be delimited to show only entities with a certain state. ...
  70. Show fields for invoice details, such as currency, shipment date, and payment terms. You can specify a currency that is different ...
  71. Show fields for the customer's shipping and billing addresses. You can specify a different address where the item or service ...
  72. Show fields for the vendor's payment and shipping addresses. The shipping address is used when you return items to the vendor. ...
  73. Show pending payments summed for one day. Overdue payments are shown as amounts on specific days from the due date going ...
  74. Show pending payments summed for one month. Overdue payments are shown as amounts within specific months from the due date ...
  75. Show pending payments summed for one quarter. Overdue payments are shown as amounts within specific quarters from the due ...