An independent practitioner review of the preview capability for multi-element revenue allocation adjustments during subscription updates and terminations.
Dynamics 365 Finance 10.0.49 introduces encumbrance reconciliation for Budgeting. This article explains the expected control value, affected processes, and the sandbox checks required before production use.
Dynamics 365 Finance 10.0.49 introduces a performance enhancement for the Budget register entries page. This article explains the expected user impact, the limits of the published information, and a practical validation approach for the update.
Dynamics 365 Finance 10.0.49 adds a report option for excluding closing period transactions from the Outstanding encumbrance report. This article explains the reporting issue addressed by the feature and provides a practical validation plan.
Dynamics 365 Finance 10.0.49 introduces delayed tax calculation for journals. This article explains the expected operational impact, the journal-entry pain point it addresses, and the validation required before production deployment.
Dynamics 365 Finance 10.0.49 adds an origin amount calculation to the Sales tax specification by ledger transaction report. This article explains the reporting improvement, its likely operational impact, and the validation work required before using it for tax reconciliation.
Dynamics 365 Finance 10.0.49 adds a diagnostic step for identifying damaged source document budget control tracking before administrators use the existing reprocessing capability.
Dynamics 365 Finance 10.0.49 can move the accounting date of qualifying purchase requisitions and purchase orders when workflow processing extends beyond an open fiscal period. The feature reduces manual correction of documents blocked by period closure while preserving budget control validation.
An implementation-focused review of the new France e-Reporting capability in Dynamics 365 Finance 10.0.49, including scope, affected users, preparation and testing.
Dynamics 365 Finance 10.0.49 introduces an administrator-controlled preview step for automatic bank reconciliation. Bank accountants can inspect proposed matches before the reconciliation updates transactions, reducing the effort required to correct unsuitable rule results.
Dynamics 365 Finance 10.0.49 adds an option to post general budget reservations automatically after workflow approval. This article explains the operational change, affected roles, control considerations, and recommended update testing.
An independent practitioner review of the preview capability for preparing, reviewing, and posting fixed asset reporting currency adjustments in Dynamics 365 Finance 10.0.49.
Dynamics 365 Finance 10.0.49 introduces an administrator-enabled capability for clearing bridged payment transactions through bank reconciliation. This article explains the expected process improvement, the terminology that requires validation, and a practical approach to testing and deployment.
Dynamics 365 Finance 10.0.49 introduces criteria-based retrieval of bridge transactions during bank clearance. This article explains the operational impact, affected users, activation considerations, and a practical sandbox test plan.
Dynamics 365 Finance 10.0.49 introduces an option to separate customer and vendor payment journal posting from settlement processing. This article explains the operational benefit, affected processes, implementation considerations, and the points that should be verified in a sandbox.
Dynamics 365 Finance 10.0.49 adds reporting currency values to transactions created by the India fixed asset income tax depreciation proposal. This article explains the practical impact, activation prerequisite, affected processes, and recommended validation steps.
Dynamics 365 Finance 10.0.49 adds a parameter for choosing whether customer prepayments are handled at invoice header or line level. This article explains the practical impact, affected processes, and a sandbox validation approach.
A practitioner overview of every finance-relevant change in Dynamics 365 Finance 10.0.49 - accounts receivable prepayments, cash and bank settlement, budget control, fixed assets in reporting currency, tax, and French e-reporting.
An implementation-focused review of the new French electronic invoicing capability in Dynamics 365 Finance 10.0.48, including scope, affected processes, configuration, and testing considerations.
Dynamics 365 Finance 10.0.48 introduces a data maintenance capability for repairing inconsistencies in partially settled general ledger transactions. This article explains the operational value, affected users, and recommended validation steps.
An independent review of the new data-maintenance capability for identifying and removing inconsistent partial ledger settlement records in Dynamics 365 Finance 10.0.48.
Dynamics 365 Finance 10.0.48 introduces a data-maintenance capability for identifying and repairing inconsistencies between partial ledger settlement records and transaction settlement status. This article explains the operational problem, the expected value of the correction, and a practical validation approach for finance teams.
Dynamics 365 Finance 10.0.48 adds an IN operator to statement and document matching rules for one-to-one bank reconciliation. This article explains the practical impact, affected processes, activation, and recommended sandbox validation.
An independent practitioner review of the Netherlands XAF 4.0 export enhancement in Dynamics 365 Finance 10.0.48, including its architectural change, expected performance benefits, affected users, and a practical validation plan.
Dynamics 365 Finance 10.0.48 improves Subscription billing by keeping unbilled revenue aligned when consumed quantities change on usage-based lines participating in multiple element revenue allocation.
An independent practitioner review of the new parameter-controlled validation for French customer invoices, including scope questions and a practical test plan.
Vollständige Einrichtung der Schweizer QR-Rechnung in Dynamics 365 Finance: Feature Management, Electronic Reporting, QR-IBAN, Tp3.QR, Payment ID mit Modulo 10 sowie die häufigsten Fehlermeldungen aus dem Testing.