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X-WR-CALNAME:SWK Technologies, Inc.
X-ORIGINAL-URL:https://www.dynamictechservices.com
X-WR-CALDESC:Events for SWK Technologies, Inc.
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DTSTART:20210314T100000
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DTSTART;TZID=America/Los_Angeles:20210330T100000
DTEND;TZID=America/Los_Angeles:20210331T110000
DTSTAMP:20260505T095751
CREATED:20180101T050244Z
LAST-MODIFIED:20211231T185651Z
UID:14488-1617098400-1617188400@www.dynamictechservices.com
SUMMARY:Acumatica Online Training: Financial Basics - Cash Transactions\, Bank Reconciliation\, and Period-End and Year-End Procedures (F100)
DESCRIPTION:Acumatica ERP Experience Required: 3-6 months \nWho Should Attend (relationship to Acumatica): \n\nProfessionals who want to learn Acumatica ERP\n\nAcumatica ERP version: 2020 R2 \nTraining Description: This training illustrates the processing of cash transactions\, such as a cash entry and a funds transfer. It also describes the process of reconciling a cash account with a bank statement\, which is a preparation step for period-end procedures. This training explains how to close\, lock\, unlock\, and reopen financial periods and illustrates how to generate a financial calendar for a new financial year. \nTraining Syllabus: The program is covered over two days as follows: \n\nDay 1: Cash Transactions and Bank Reconciliation. In this session\, you will learn how to create a cash entry in Acumatica ERP and how to record a funds transfer between cash accounts. You will also reconcile a cash account with a statement from a third-party financial institution.\nDay 2: General Ledger—Period-End and Year-End Procedures. In this session\, you will learn how to close a financial period in a subledger and close a financial period in all the subledgers and in the general ledger at the same time. You will learn how to generate financial periods for a new financial year in the system and review the period statuses and how to open a period in the subledgers and in the general ledger. At the end of the session\, you will lock a financial period in a subledger\, unlock a locked financial period in a subledger\, reopen a financial period in the subledgers and the general ledger at the same time and deactivate a financial period in the subledgers and the general ledger\n\nPartner Certification: This class is based on the materials of Part 5: Cash Transactions and Bank Reconciliation and Part 6: General Ledger—Period-End and Year-End Procedures of the F100 Financial Basics course\, which is part of the Business Consultant badge. Completion of this class does not give you an automatic completion of the related course at Partner University; you will still need to complete the exam at Partner University. \nDate and time: This training meets the following two times\, and attendees are expected to attend both sessions: \n\nTue\, Mar 30\, 2021 10:00 AM – 11:00 AM PT\nWed\, Mar 31\, 2021 10:00 AM – 11:00 AM PT\n\nRegistration URL: hhttps://webinar.ringcentral.com/webinar/register/4316146041284/WN_rfJs6xFKQl6El5wF0SD0pw* \n*To provide a cloud instance for attendees\, we need to generate a registration report and perform some activities to deploy the instance and send out the credentials. All this takes time and we have to do it several hours before the webinar. So we highly recommend not leaving the registration up to the last minute of the webinar start. Everyone who registers after 6 AM PT of Day 1 session will not receive the link to the cloud instance and credentials for it and will have to attend a webinar in a view-only format. \nInstructor: Jim Bartow \nPrerequisites­ \nNone. \nAdvance Preparations \nNone.  Attendees will be provided with a cloud instance and tenant for training purposes. \nTraining Materials Please download the following training materials that you will need for the training: \n\nTraining guide: F100 Financial Basics.pdf\nFiles for Training: Files for Training.zip\n\nContinuing Professional Education \n\nnnnnProgram knowledge level: Basic\nDelivery method: Group Internet Based program*\nNASBA field of study: Computer Software & Applications\nMaximum number of CPE credits that may be earned by the participant: 2\n\nDue to this program being offered free of charge\, there will be no refunds issued. If you have any questions\, please feel free to contact us at training@acumatica.com. \n* We offer CPE credits for this course if you attend the course in the format of online instructor-led RingCentral session. During the session\, we measure your attentiveness by using polling questions at random times. We provide the certificate if you have answered polling questions during the session. To get the certificate with the confirmed CPE credits\, please send a request to training@acumatica.com after the session is complete. \nNational Registry Statement \nAcumatica is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.NASBARegistry.org.  \nPlease follow and like us:
URL:https://www.dynamictechservices.com/event/2021-03-30-f100-financial-basics-cash-transactions-bank-rec-period-end/
LOCATION:Webinar
CATEGORIES:Acumatica
ATTACH;FMTTYPE=image/png:https://www.dynamictechservices.com/wp-content/uploads/2018/02/AcumaticaLogo-200x200.png
ORGANIZER;CN="Acumatica":MAILTO:info@DynamicTSi.com
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