Royalty agreement process
In a previous post we walked through the process of setting up a royalty agreement. Once you have the agreement setup then the process encompasses posting sales invoices, processing royalty claims, accrual, […]
In a previous post we walked through the process of setting up a royalty agreement. Once you have the agreement setup then the process encompasses posting sales invoices, processing royalty claims, accrual, […]
If you sell products that you need to collect and pay a royalty to someone then AX has a reasonable piece of functionality that you can use. AX allows you […]
In a previous post I covered the basic setup for validating currency when posting to a GL account if you want to control what currencies are posted. The previous example […]
If you are working with multiple currencies you might want reserve some accounts to only use specific currencies and avoid posting happening to accounts. There is an options when you […]
When you setup accounts in the GL you might want to control where postings come from. The general journal is a great tool for update postings but sometimes you might […]
If you are using the invoice register then you can turn on approval at the journal level. This wouldn’t be for approval of the invoice but just as an approval […]
When you are creating a new journal name and you select a voucher series number sequence and get the following message “This voucher series cannot be selected because it is […]
The journals in AX have a handy feature that you can enter a short cut text which will be expanded to the full description you have setup. This is handy if you often […]
I did a post a long time back and had the intentions of trying to do a series on the topic, better late than never, here is the next one. […]
When setting up a legal entity in AX2012 you will need to consider the local functionality you will require for the entity. The local functionality in AX2012 is driven from […]