Financials - Account Payable

Payment Method Code
Issue Client unable to print cheques Solution When suggesting payments, remove the Payment Method Code filter. Most vendors do not h...
Mon, Dec 12, 2016 at 2:41 PM
How to Apply Multiple Invoices in Payment Journal
Issue Client requested instructions on how an AP Payment User can apply multiple vendor invoices while processing wire and internet payment...
Mon, Dec 12, 2016 at 2:41 PM
Posting AP Journal Message - Amount must be positive
Issue Trying to Post AP Journal entries originally posted from Reoccurring Journal.  Entries include credit amounts.  Receiving the message:...
Mon, Dec 12, 2016 at 2:41 PM
Importing New Signature
Issue Importing new signature Solution Creating New Signature Card:   Go to Financial Management > Cash Management > Signatures. Press F3 t...
Mon, Dec 12, 2016 at 1:08 PM
Email EFT Notification with Remittance Details
Sending AP EFT email notification with remittance details included in email body.  (See attached example) Setup Email Body Details: Financial Management...
Mon, Dec 12, 2016 at 2:41 PM
Vendor Report for $10 000 and Greater
Issue Client required report that lists vendors that were paid $10 000 or more within a specific date range. Solution For a list of...
Mon, Dec 12, 2016 at 2:43 PM
Unable to void cheque
Issue When voiding a cheque, using either the Reverse Entry or the Reverse Entry and Offset Purchase Invoice option, the following message...
Mon, Dec 12, 2016 at 2:41 PM
Email Remittance Functionality
Introduced in NAV 2017 is the ability to distribute email remittance advice via the EFT export process.  Blogs to refer to about configuring EFT data exchan...
Tue, Jun 6, 2017 at 4:13 PM