Are you looking for ways to optimize your Dynamics GP investment and streamline business processes in these uncertain times? With the sudden need to adapt and support a remote workforce, comes the opportunity to explore ways of optimizing simple yet critical business processes such as bank reconciliation, intercompany accounting and electronic payments. 

We invite you to attend our short free webinars to explore the solutions you may be looking for. You’re welcome to join as many as you need to. They will be recorded in case you’re not able to join. 

Join our Dynamics GP Solutions Specialist, Carole D'Arcy (CPA, CA, CITP), for a series of 30 minute informative talks demonstrating how Nolan Business Solutions’ GP Add-ons can help transform and automate key accounting tasks, which in turn can free up resources for more valuable projects. 

Webinar Details

June 9, 12pm MT – Join Carole for a talk on how Nolan’s Intercompany Postings (ICP) module differs from the standard Dynamics GP Intercompany. Process improvements that will be discussed include automatic post through of intercompany transactions, flexible posting methods across ALL GP modules, full audit trail and drill down capabilities across companies, as well as complete support of intercompany cash transfers.

June 11, 12 pm MT – In this extension of the June 9th talk, Carole will continue to showcase Nolan’s intercompany accounting expertise by reviewing two additional modules. AR for Cash Receipts supports a centralized cash receipt and apply process for sales documents dispersed across multiple related entities. Intercompany POP to SOP facilitates movement of inventory between Dynamics GP databases by providing an automated loop that keeps purchase orders, sales orders, receipts and payments in balance between related companies.

June 16, 12pm MT – Join Carole this week to discuss Nolan’s Bank Reconciliation knowhow! In this Part I session, we will explore why investing in Nolan’s Advanced Bank Reconciliation tool can not only help save hours of work at month end, but also offer better insight into your cash position daily. Options for automating the upload of your banking activity directly into Dynamics GP will also be explored.

 

June 18, 12pm MT– In this Advanced Bank Reconciliation Part II session, Carole will expand on the use of the Nolan module for non-cash applications, such as Credit Card Merchant Gateway as well as Corporate Credit card expense account reconciliations.

 

June 23, 12pm MT – In this last session, Carole will present Nolan’s Electronic Payments as an alternative solution to the Dynamics EFT module for electronic payment of vendors and employees, both domestically and internationally.

 

Save your Seat Now for one or all sessions:

Microsoft GP InterCompany Postings - Part 1 recordinghttps://attendee.gotowebinar.com/recording/3704705881227511043

Microsoft GP InterCompany Postings - Part 2 Recording: https://attendee.gotowebinar.com/recording/8903067115024552195

Microsoft GP Advanced Bank Reconciliation - Part 1 Recording: https://attendee.gotowebinar.com/recording/3654098659691184385

Microsoft GP Advanced Bank Reconciliation - Part 2 on Jun 18, 2020 11:00 AM PDT at: https://attendee.gotowebinar.com/register/1070038526096698383

Microsoft GP Electronic Payments on Jun 23, 2020 11:00 AM PDT at: https://attendee.gotowebinar.com/register/6476327304266803471