Print code on sales order confirmation
I had this question a little while back so thought I’d share as it might not be so obvious where the data comes from. If you print a sales confirmation […]
I had this question a little while back so thought I’d share as it might not be so obvious where the data comes from. If you print a sales confirmation […]
In a previous post I mentioned the inventory on-hand workspace. There is another workspace that might be interesting for team members that interact with customers while out of the office. […]
In a previous post we had a look at setting up a customer hierarchy for trade allowance management. If the new one you create is going to be he one […]
If you are using a lump sum merchandising event and using pay using account accounts payable then it will use the procurement category setup in the trade allowance parameters in […]
If you are setting up a trade allowance in AX2012 and you get a message that the invoice account must be filled in. Then you are likely using a lump […]
When you are working with trade allowance agreements and funds you will want to make sure the selected customers are common. If you are setting up an agreement and get […]
If you are setting up trade allowance agreements then likely you are affecting the company profitability because you are giving away a discount, credit or paying out funds. There is […]
If you are looking to use the trade allowance lump sum and using the customer deductions or invoice customer deductions. Then you might want to review how the system picks […]
In a previous post we had a look at the trade allowance agreement with pay using accounts payable option on a lump sum. When the transaction is posted to accounts […]
In a previous post we had a look at creating a lump sum allowance using the invoice customer deductions or the customer deductions. These are handy because you can avoid […]