Calculating and posting currency exchange rate differences in banking transactions
As required by accounting law in some countries, mostly in Eastern Europe, foreign currency cash withdrawals from the cash desk and bank accounts should be converted based on the currency exchange rate as of date when the payment in the foreign currency was made to the cash desk or bank account. ...
Add possibility to enforce Intrastat classifications to be set on documents
Intrastat reporting depends heavily of how properly users enters data into system, starting from master data (items/customer/vendor) setup and ending with actual transactions posting. If anything will be posted incorrectly, preparation of Intrastat journal can be challenging and in standard, ther...
Multiple receivables/payables accounts
For each customer (vendor), one card is usually defined within the system. Each customer/vendor card can be linked with a customer/vendor posting group which means with one receivables (payables) G/L account. It is a frequent case that receivables (payables) amounts of a customer (vendor) should ...
Document numeration series templates
In Business Central now (and previously in NAV) it is possible to define just one set of numeration series for sales and purchase documents. In a lot of scenarios, users would like to have easy possibility to define different numeration series for the same documents, for example: - different nu...
Package tax calculation
It is quite common requirement in EU countries, that companies selling or consuming goods on the local market are obliged to prepare a package tax declaration for the Tax Office and pay package tax. If differs from country to country if tax is paid on sales/consumption or rather on purchase of su...