The most common reaction I see, when telling someone that your out of balance issue is related to Adjust Cost is, “but I have Automatic Cost Posting turned. and with […]
Inventory to GL Reconciliation – Chapter 5 – The Report
When someone inquires as to how to reconcile their inventory to the general ledger or someone complains ‘my inventory does not tie to my general ledger’, my first response is […]
Inventory to GL Reconciliation – Chapter 4 – Posting Groups
Inventory posting groups control the balance sheet portion on entries relating to inventory. When inventory posting groups do not ‘line up’ to the desired group of items, it typically points […]
Inventory to GL Reconciliation – Chapter 3 – Posting Setups
We always talk about the importance of posting setups; no where is it as important as when it comes to subledger reconciliations. There are two posting setups that are important […]
Inventory to GL Reconciliation – Chapter 2 – Direct Posting
What is direct posting? It’s a toggle/flag/checkbox on a general ledger account card. What does it do, you ask? It controls whether you can use the specific general ledger account […]
Inventory to GL Reconciliation Chapter 1- Concepts
There are a handful of concepts intricately connected and are an absolute must for understanding how inventory transaction flows throughout the system, what is affected and how the subledger is […]
Get Excited!! BC version 20 Has Excel Layouts
WOW, I’m so Excited for the Excel Layouts in BC version 20 (Wave 1 2022)! I didn’t know how this would really work and I was worried that it would […]
Inventory to GL Reconciliation Series – Introduction
For the past several years, I’ve presented sessions on Reconciling Inventory to the GL for Dynamics NAV and Business Central at various events such as Focus, Summit, Directions, All-Star webinars […]
KimD and NAV|BC
Welcome my new NAV|BC Sharing site! For the last 26 years, I’ve work on this wonderful product. I’ve learned a great deal, I’m always learning more and I know I […]