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  1. Choose Transactions > Financial > Bank Transactions.
  2. Complete the Bank Transaction Entry window as usual. See Microsoft Dynamics GP documentation for more information.
  3. Choose the account analysis button to open the Bank Transaction Profitability Entry window.
  4. Enter an Equipment ID. 
  5. The Amount and Equipment Description will appear display. 
  6. You can enter a Posting Description.
  7. Choose OK to return to the Bank Transaction Entry window.