As part of any implementation, or upgrade, I'm sure that everyone performs some data validation. Verification that Begining balances in you G/L Accounts in the new software matched the ending Balance in you old software and the Likes. Does anyone have a List of the things that they tested to verify...
Posted to Microsoft Dynamics NAV / Navision End User Forum
by Alan A. Lyczkowski
Filed under: NAV 4.0 SP1, NAV 4.0 SP3, NAV 5.0, Navision 3.60, Opening Balance, Data Migration, NAV 4.0, Navision 3.70, Dynamics NAV, NAV 4.0 SP2, Navision 2.60, Dynamics NAV upgrade, NAV 5.0 SP1, NAV 2009, Navision, Upgrade, NAV 2009 SP1, data conversion, Navision Attain, Navision 2.60C, Implementation