October NAV Knowledge Workshop – Bank Reconciliation

Technology Management’s October Microsoft Dynamics NAV (formerly Navision) knowledge workshop will be looking at Bank Reconciliations. Delegates will learn the best approach to find any differences when the Bank Account Card value is not agreeing with the General Ledger balance, hints on how to find and correct these differences and also how to input any entries shown on the Bank Statement into NAV via the Reconciliation screen.  We will advise on best practice to keep the Bank Account card and GL agreeing to the Bank Statement Balance.

The event runs on Thursday 23 October 2008, 9.30am – 12.30pm at Technology Management’s offices in Wolverhampton.

To book your place email mark.britton@tecman.co.uk

The NAV Knowledge Workshops run monthly and are free to all customers.