How to Manage International Entities in Dynamics 365 for Finance & Operations - Part 1: Intercompany Transactions

Join us on Thursday, March 8th at 11am Pacific time if your company is considering or is in the process of taking your ERP implementation global.  Part 1 of our two-part series on managing International Entities will explore these three important topics:

  • Centralized banking transactions
  • Intercompany accounts receivable and accounts payable transactions
  • Intercompany sales order and purchase order transactions

Let us show you how your Dynamics 365 and be configured to provide a global chart of accounts using financial dimensions and masking enabling your company to create a consolidated, global roll-up of your ledger.

Additionally, we will cover the crucial importance of making basic structural decisions including:

  • Whether to make the chart of accounts global
  • Deciding if financial dimensions can be standardized
  • How taxes will be handled

Part 2 of our international series is entitled: How to Manage International Entitles in Dynamics 365 – Languages, Currency and Fixed Assets and is scheduled for April 5th - click here for more information on Part 2.

Register now to view this live demonstration webinar and we thank you for your interest in this webinar presented by Western Computer.
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If you are unable to attend, register and a link to the webinar's OnDemand recording will be provided after the webinar.