• 38

    Manage personalizations at the organization level with views: A small suggestion for improvement to published views

    Suggested by Holm Bergner New  1 Comments

    Manage personalizations at the organization level with views - A small suggestion for improvement to published views


    We would like to publish and pin the view per menu item but unfortunately whenever menu items are sharing the same table, the published views will overide themself.


    E. g. creating a saved view in the invoice approval and publishing it leads to default view of this view also in fixed assets and general journal (all of them are sharing the LedgerJournalTable). The problem is, however, that each menu item requires different views with a different structure of information and column layout and that it is very confusing if the general ledger displays a separate view from the accounts payable module by default and vice versa.


    It should be possible to publish 1 view per menu item. Every menu item has its own requirements and structure. So we suggest that the published views be linked to the menu items or the corresponding work masks instead oft he table.


    Then there should be no more unwanted overlaps between the different published views showing all data from the same table. And as a small side effect, one could read MS's handouts on published views with more serenity.

     


  • 38

    Ledger calendar - split project into project revenue & project cost or incorporate project into closing of other modules

    Suggested by Thomas Pieters New  0 Comments

    In the month end closing process, when closing application modules separately there is an option to close the "project" module.

    This will block any entries on the project subledger for that period. This will block both the registration of revenue transactions (new project invoices) and the registration of cost transactions (hour, item and expense transactions).


    This closing is perceived as being too strict by our customers and is also not in line with the closing of other modules.

    Our proposal is to either align the closing of the project subledger with the closing of the other subledgers or split the closing of the project modules into at least 2 domains: revenue & cost.


    The end result of this request is providing the possibility to close the revenue side of a project in a period while still allowing to make cost entries: allow to enter expenses, hours and item consumption on a project while the generation of new project invoices is not allowed for that period.

    --> Typically the customer ledger is closed in the first days of the new period while the vendor subledger and expense subledger is still open.


    Below an example of a scenario that is categorised as intended behaviour but is perceived as a bug by customers:

    • Customer subledger closed
    • Project subledger open

    When you try to create a new customer transaction via the account receivable module that is not allowed. (customer is closed) However, when you create a new customer transaction via the project module that is allowed.


    In the above scenario you would expect that closing the customer module means:

    • no entries are allowed in the customer subledger.
    • With the current functionality this means: no entries are allowed from module X but entries are allowed from module Y


    To achieve the scenario where new entries of all types of customer transactions are blocked in a period (and allow cost transactions on a project) the current 'customer' application module closing should be adjusted or a new application module 'project revenue' is required.




  • 38

    Adding opportunity to lock invoiced lines while creating credit notes on invoiced sales order is still possible.

    Suggested by Nina Sandnes New  2 Comments

    Ref. TrackingID#2303310010000933 regarding the parameter "Safety level of invoiced orders" on Accounts receivable parameters - Updates. When selecting "Locked", you are not able to delete invoiced lines. However, you are not able to create credit notes on invoiced sales orders either. Therefore, the suggestion is to expand the possible alternatives to select for this parameter. For example adding an alternative as "Lock invoiced lines only", with this alternative it will still be possible to create credit notes from invoiced sales orders. The alternative which is named as "Locked" today can be renamed to for example "Lock invoiced orders", which still means that it is not possible to delete invoiced lines or create credit notes.


  • 37

    Customer payment calendar configuration – Extention

    Suggested by Paola Campini New  0 Comments

    Extending customer payment calendar configuration in order to:

    1) let the configuration to be applied for specific customers, not only for specific payment terms/methods (it is not user-friendly asking to create a lot of similar payment terms/methods only for managing calendar holiday date)

    2) let the possibility to move the due date not only in the previous/next business date (based on the actual standard “Due date update” field in Terms of payment setup), but in a longer period, for example, letting the system use the Payment days setup in order to let the system calculates the needed due date


  • 37

    Customer bank account change proposal workflow

    Suggested by Rowan Elsaman New  0 Comments

    Some business scenario, self-billing or credit notes, workflow for the Bank account is needed for the customers as well to make sure that no information is changed without being validated and reapproved. This is achievable with the Vendors accounts and it will be great to have the same to not to risk any transaction.


  • 37

    Cash control and expense management

    Suggested by Katie Joseph New  2 Comments

    Public Sector functionality for cash control should apply to expense report documents coming out of expense management. These documents post to the accounts payable subledger just like pending vendor invoices but cash control functionality is not kicking in and therefore allowing financial dimension sets to go negative that should be controlled by cash control.

  • 36

    Extended Belgian "Posting journal" functionality to other countries

    Suggested by Stijn Baele New  0 Comments

    When enabling Belgian localization, a default functionality regarding posting validation is available. This functionality allows finance administrators to enter a date range in which a number sequence can be used. If a transaction is posted outside the date range, the transaction will not be posted due to a check on the number sequence with the allow date.


    If we could have this functionality for other countries we could allow finance to have a smoother period close due to the fact that we can enforce the number sequence used in a transaction.


  • 36

    Suggestion for Greek Localization in Dynamics 365 for Finance and Supply Chain

    Suggested by Yogesh Patel New  2 Comments

    Dear Team,


    I would like to propose the introduction of Greek localization for Dynamics 365 for Finance and Supply Chain through the Idea Portal.

    During a recent visit to Greece with a client, I observed a substantial interest in Dynamics 365 and the Power Platform among local businesses. Despite this interest, the market is predominantly dominated by SAP. Introducing Greek localization could significantly enhance the adoption of Dynamics 365 in this region, providing a competitive edge and meeting the needs of numerous potential customers.


    Additionally, while there is a strong presence of Independent Software Vendors (ISVs) in Greece, their solutions are often not affordable for many businesses. Furthermore, several overseas companies with sister companies in Greece face restrictions in rolling out Dynamics 365 due to the absence of Greek localization, especially when ISV solutions are beyond their budget.


  • 36

    Export - Report - Entity needed for Purchase Invoice Approval Workflows

    Suggested by Stuart Cole New  1 Comments

    Good Morning


    I've not been able to find any suitable tool to be able to export data from D365 to show the approval values at each step of a Purchase Invoice Approval Workflow


    As many companies have multiple departments with mutiple flows in multiple legal entities this can soon run into hundreds of decision flows


    I agree that this data could be retrieved one flow at a time and recorded somewhere but we know staff, flows. approval amounts can change on a frequent basis and it's not practical to have to manage seperate reports outside of D365


    Also when organisations are audited the data in the system could be vastly different to a sepreate external report


    If this information was available to be exported or have an entity it would be possible to develop a solution via the PowerPlatfrom, or that data could be exported to excel and feed into other excel sheets


    Whatever could be exported would be useful - But I would like to have

    Workflow Name

    Sub Workflow Name

    User Group Name / Person Name

    User Group Code / User ID

    Workflow Amount


    For example:

    WORKFLOW: Invoice Approval Workflow for Stores

    SUB WORKFLOW: RS REPAIR APPROVAL


    USER GROUP NAME USER GROUP CODE WORKFLOW AMOUNT (PARAMETER)

    Retail Store Repairs Coordinator RSRC

    Property Manager (UK & Eire) PMUK >500

    Support Manager SPM >5000

    Head of Retail (UK, EUR and ASIA) HR (ROW) >50000

    Group Financial Director CFO >500000

    Chief Executive Officer CEO >5000000






  • 36

    How to check mapping between expense report and cash advance by the other user

    Suggested by Alfie Ta (Tek Experts) New  1 Comments

    The mapping information is only available to the employee who submits the cash advance and does the mapping with expense line in their Expense management workspace. However, the user also wants to check this information for management purpose. They already face with the problem about user map expense with incorrect cash advance.