14

Proper data entities for Reconciliation matching rules (Settle customer invoices)

Currently, there is no data entity available for the reconciliation matching rule 'Settle customer invoices'. Since the reconciliation matching rules to 'Settle customer invoices' must (currently) be setup customer-specific, it would be very helpful if you can use a data entity to upload recon...

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Category: Cash and bank management (373)

STATUS DETAILS
Needs Votes
14

Schedule batch job for bank foreign currency revaluation

Since the period close process always happens on the 10th of the month in our company, sometimes those days are weekends. In order to avoid accountants having to work on the weekend, we would like the possibility to schedule the Bank FCR in advance (for example on Friday), or even as a recurri...

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Category: Cash and bank management (373)

STATUS DETAILS
New
14

Fixed Discount Dates on Variable Invoice Dates

There is a requirement from a customer who needs to manage fixed Discount dates based on variable invoice dates


Example: All invoices with an invoice date between 1-15th of a month --> Fixed Discount Due Date 31st of the month FIX

All invoices with an invoice date be...

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Category: Cash and bank management (373)

STATUS DETAILS
New
14

RF international payment reference for customer transactions

Many customer demand easier and more automatized process for settling customer payments. International Structured Creditor Reference would be a beneficial by this requirement to be implemented to D365. European payments council has a white paper from this: https://www.europeanpaymentscouncil.eu/s...

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1 Comments

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Category: Cash and bank management (373)

STATUS DETAILS
New
14

Add total amounts on the invoice proposal to allocate bank accounts

Currently we have no idea in the vendor payment proposal what is the total amount for the generated proposal. Mostly often, the payment proposal is allocated to a bank account according to the amount of the payment proposal. In the current proposal, we cannot evaluate this total amount, so we ar...

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Category: Cash and bank management (373)

STATUS DETAILS
Needs Votes
14

Generate paymentfile accross legal entities

The process of creating ISO20022  payment files for the bank involves a lot of manual steps. Especially when you are operating with several bank accounts and many legal entities.

The process of creating one file per bank account per legal entity should not be necessary. The user sh...

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Category: Cash and bank management (373)

STATUS DETAILS
Under Review
Ideas Administrator

Thank you for your feedback. Currently this is not in our roadmap; however, we are tracking it and if we get more feedback and votes, we may consider it in the future.

 

 

Sincerely,

 

Annette Bruer, PM, Microsoft

13

Linking a Letter of credit for more than one PO and One Po to have more than one Letter of credit

Linking a Letter of credit for more than one PO and One PO to have more than one Letter of credit. In general business scenario, it is a possible scenario to make the LC for multiple PO's with the same vendor and also for one purchase order there is a chance of having more than one LC.

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1 Comments

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Category: Cash and bank management (373)

STATUS DETAILS
New
13

Possibility to edit/add bank statement lines

Currently it is not possible to edit/add bank statement lines for imported bank statements. Our client has various customer payments, which belong to multiple customers in D365FO (It is not possible to use the same 'invoice account', because the invoice must be send to the individual customer)...

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Category: Cash and bank management (373)

STATUS DETAILS
New
13

Approval on a Netting Journal

from the netting agreements, the user can create a new netting and to finalise it he needs to post it.

The journal created for this netting posting, is now blocking the approval.


The client I'm currently working for requests to have an approval before the netting is bein...

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Category: Cash and bank management (373)

STATUS DETAILS
New
13

What report/document can we generate to send to the vendor to advise payment if the payment is not settled against invoice? Such as prepayment, or normal payment without settling against invoice.


As described in issues 536165 and 623922, for payment without invoice, the vendor payment advice report will not show details if there is no settlement related to this payment.

As described here (https://learn.microsoft.com/en-us/dynamics365/finance/accounts-payable/prepayment...

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Category: Cash and bank management (373)

STATUS DETAILS
New