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Blog Post: Webinar: Item Journal Transfers and Adjustments for NAV 2009 and Ceres 2009

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Please join eSoftware Professionals as we present Item Journal Transfers in Ceres 1.x/2.x. This class will explore how to use the Item Journals to reclassify inventory, adjust inventory for trash, and transfer inventory to different locations/bins, etc.

Webinar: Item Journal Transfers and Adjustments in Ceres 2009

  • Wednesday, May 14, 2014, 10 am – 11:30 am Pacific

By the end of class, attendees will have a better understanding of how to:

  • Understand how to use the item & transfer journals to post adjustments
  • Know how to create and use the reason codes for adjustments
  • Be familiar with the correct procedure for positive and negative adjustments in relation to Lot Assignment, Product Coding, etc.

This class is ideal for your new employees or employees who responsible for reclassifying, adjusting and moving inventory in Ceres 2009 and NAV 2009.

Ready to sign up now? Fill out the Webinar Registration form below and we’ll save you a spot.

Webinar Registration
  1. First Name(required)
  2. Last Name(required)
  3. Your Email(email required)
  4. Company/Organization(required)
  5. Daytime Phone Number
NAV 2009 Webinars (Please select the classes you'd like to attend)
  1. 12/11 Wed – Cash Management for NAV 2009 & Ceres 2009 12/18 Wed – Fixed Assets, Overview & Set Up for NAV 2009 & Ceres 2009 01/15 (Wed) Setting Up Item Descriptors and Extended Text 01/22 (Wed) Adding New Users to Role Centers 01/29 (Wed) RTC Overview 02/05 (Wed) Account Schedules Setup, Reporting and Use 02/12 (Wed) Budgeting in NAV 2009 02/19 (Wed) Fiscal Year End Process and Closing 03/05 (Wed) Bank Reconciliation 03/12 (Wed) Cash Management 03/19 (Wed) Fixed Assets Overview and Setup 03/26 (Wed) Setting Up and Posting Intercompany Transactions
Ceres 2009 Webinars (Please select the classes you'd like to attend)
  1. 12/11 Wed – Cash Management for NAV 2009 & Ceres 2009 12/18 Wed – Fixed Assets, Overview & Set Up for NAV 2009 & Ceres 2009 01/08 (Wed) Donation Orders and Donors 01/15 (Wed) Setting Up Item Descriptors and Extended Text 01/22 (Wed) Adding New Users to Role Centers 01/29 (Wed) RTC Overview 02/05 (Wed) Account Schedules Setup, Reporting and Use 02/12 (Wed) Budgeting in Ceres 2009 02/19 (Wed) Fiscal Year End Process and Closing 02/26 (Wed) Financial Reporting for Ceres 2009 03/05 (Wed) Bank Reconciliation 03/12 (Wed) Cash Management 03/19 (Wed) Fixed Assets Overview and Setup 03/26 (Wed) Setting Up and Posting Intercompany Transactions
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