Author Archives for RSM Staff
Using Transaction Descriptions in Microsoft Dynamics GP: Reconcile Payables to GL
There are a few key concepts to understand how Transaction Descriptions and Reference fields work in Dynamics GP to make...
Transitioning from Java to X++ – Part Two
In the first article of this series, I covered the differences in operators between Java and X++. As a Java...
Seeking Side-by-Side Drag and Drop for Dynamics Development in Visual Studio
In Microsoft Dynamics AX 2012, developers were able to open a second copy of the Application Object Tree (AOT), or...
“Unhandled script exception” Error When Running the Historical Stock Status Report
We have gotten reports of GP users receiving the error shown in the screenshot below when generating the Inventory’s Historical...
Warehouse Management – What you Need to Consider and Know Before Implementing
As more and more companies beginning to upgrade to Microsoft Dynamics 365 for Finance and Operations, a rather sizable decision...
Reporting (and Searching) in a NetSuite Multi-Book Environment
In the past couple years, NetSuite’s Multi-Book Accounting (MB) feature has become increasingly popular. Many users are implementing it for...
NetSuite Multi-Book: Searching on Amortization and Rev Rec Schedules
For general information and tips on Multi-Book reporting and searching, see my previous post here. As you may or may...
IT Professionals – Are you ready for ASC 606?
Coming out of SuiteWorld last week, we were a bit surprised at the number of companies who still have not...
Applications Templates without Programming for Microsoft Power BI
One of the newest ways to extract data from Microsoft Dynamics 365 for Finance and Operation, Enterprise edition is to...
Dynamics 365 Customer Engagement, Microsoft
Boosting User Adoption with Learning Paths
You have recently helped to implement a new Dynamics 365 environment for an organization. Your team is looking for ways...