Dynamics User Group
Since 1995 - The Microsoft Dynamics Online User Community

Navision 4 - Bank Reconciliation

rated by 0 users
This post has 7 Replies | 2 Followers

Not Ranked
Posts 3
Points 60
Member since 08-28-2007
Seshaddri Posted: 08-28-2007 14:59

Hi,

I am a Fuctional Consultant and i have a query in Bank Reconciliation about how the Navision Works

Please explain me as why Nav uses two Option Bank Account Ledger entry or Check Ledger entry

 

Thanks

 

Seshaddri 

 

 

Top 10 Contributor
Male
Posts 1,407
Points 46,614
Member since 06-05-2005
Moderator

For each bank operation you will have a corresponding bank ledger entry. Every time you will performance a check operation it will register a bank ledger entry and a check ledger entry. A check ledger entry has field witch related to bank ledger entry.

For example if you void a check it will create a reversed bank ledger entry.

Nuno Maia
Not Ranked
Posts 3
Points 60
Member since 08-28-2007

Thanks for the  Help But if could tell me

I have a Doubt because both Bank Ledger and Cheque ledger entry will have same entries as only cheques will be issued by the clients

Why there should bea seperate Cheque ledger entry option in BRS

Awaiting ur reply

 

Seshaddri 

 

 

Top 10 Contributor
Male
Posts 1,124
Points 37,826
Member since 11-03-2000
DynamicsNAVMVP
Moderator

If you issue a cheque type you can void teh cheque and print it etc. However you do not have to pay by cheque. You can have a petty cash bank account, no cheques ever issued so no cheque ledger entries, but every movement will see a bank ledger entry.

The art of teaching is clarity and the art of learning is to listen
Top 500 Contributor
Posts 49
Points 955
Member since 08-29-2007

Hi,

Thx a lot but still i am not clear

  • | Post Points: 20
Top 10 Contributor
Male
Posts 1,124
Points 37,826
Member since 11-03-2000
DynamicsNAVMVP
Moderator

So what do you not understand?

I suggest you process a payment journal, but do not choose cheque as the type. Then try and find the bank ledger entry AND the cheque ledger entry

The art of teaching is clarity and the art of learning is to listen
  • | Post Points: 20
Top 500 Contributor
Posts 49
Points 955
Member since 08-29-2007

Hi,

 

I tried enetring Payment Journal and it got posted to Bank Account and not to Cheque Ledger Entry as i have not choosed Cheque

But my question was when we do Reconciliation following are my observation

All entries will get posted into Bank Account Ledger Entry gets automated into recon lines

When Cheque is printed it gets posted to Cheque Ledger Entry and gets automed in to recon lines

Wat is the difference as all the cheque ledger entries will be available in Bank Account ledger entries also. 

 

 Regards

Seshadri

 

  • | Post Points: 20
Top 500 Contributor
Posts 34
Points 530
Member since 03-19-2007

The only reason, I believe, that the cheque ledger entries are kept separate is to track them in an order as a control issue. Bank ledger will have a whole lot of transactions, like for eg- we have multiple visa/charge card etc on it and it may get lost in between those transactions. The table may also be as a check that a duplicate number is not issued.

Possible??? as I haven't tried it.

Sabu

Page 1 of 1 (8 items) | RSS


Copyright Dynamics User Group, 1995-2009, all rights reserved. The Dynamics User Group is not affiliated with Microsoft Corporation.