Summary

In this chapter, you learned about other financial management possibilities in Dynamics NAV, such as the use of fixed assets and ensuring correct periodic depreciation. You also learned to keep track of your depreciation, maintenance costs, insurance policies, and lending assets related to fixed assets; post fixed asset transactions; and generate various reports and statistics. You're now familiar with the complete life cycle of a Fixed Asset from acquisition to disposal.

In the previous chapters, we discussed all other financial concepts (from basic to advanced) such as configuring G/L account card, currency, posting groups, multiple transactions, cash and bank management, and the complete P2P and O2C cycle. You are now ready to start using Microsoft Dynamics NAV 2016 to implement financial management in your company.

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