Introduction

Completed

This module explains the process of depositing monetary assets into a bank by using general journals in Dynamics 365 Finance and reversing a deposit by canceling a payment.

Financial users manage the transactions between the company and its bank accounts, which include the following:

  • Processing payments to bank and ledger accounts.
  • Processing payments from bank and ledger accounts.
  • Reconciling the records of financial transactions from banks with the records in Finance.