February 23, 2011

13 Classic Under Used Features in Dynamics GP

You won't want to miss this webinar presented by Mark Polino, CPA, MVP and yours truly, on March 17, 2011.  Brought to you by our friends at 

Click on the logo above for more info . . . 

February 22, 2011

GPTip42day - How do I void a bank deposit after it's been reconciled?

The short answer is - no can do.  However, if you encounter a situation where a deposit was posted into the wrong period and subsequently reconciled, in Bank Transaction Entry, just create a decrease adjustment in the incorrect period and an increase adjustment in the correct period to get the deposit dollars posted in the right period.  Then clear these adjustments against each other in the next reconciliation.

February 10, 2011

East Coast Dynamics merges with IntellPartners of Atlanta, GA USA

I've recently reached an agreement to merge my company, East Coast Dynamics, with IntellPartners of Atlanta.  For full information, please read the MSDynamicsWorld article here -