Please join eSoftware Professionals as we present Bank Accounts and Bank Reconciliation for Ceres 2009 and NAV 2009.
Webinar: Bank Accounts and Bank Reconciliation for Ceres 2009 and NAV 2009
- Wednesday, September 25, 2013
- 10 am – 11:30 am Pacific (1 pm – 2:30 pm Eastern)
During this class you will:
- Get an overview of the Bank Account Card
- Learn how to enter and post payments received from customers
- Learn how to enter and post payments to vendors
- Understand how to financially void a check
- Review the Bank Reconciliation process
Ready to sign up now? Fill out the Webinar Registration form below and we’ll save you a spot.
- First Name(required)
- Last Name(required)
- Your Email(email required)
- Company/Organization(required)
- Daytime Phone Number
- 05/22 (Wednesday) Financial Reporting 05/29 (Wednesday) Cash Management 06/05 (Wednesday) RTC Overview 06/12 (Wednesday) Account Schedules, Set up/Use 06/26 (Wednesday) Bank Accounts, Bank Rec s
- 05/08 (Wednesday) Donation Reporting 05/15 (Wednesday) Warehouse Orders and Contacts 05/22 (Wednesday) Financial Reporting 05/29 (Wednesday) Cash Management 06/19 (Wednesday) Warehouse Reporting 06/26 (Wednesday) Bank Accounts, Bank Rec s
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