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Dear AccountMate Clients,
AccountMate is hosting numerous FREE webinars over the next
month, covering a broad array of topics. These are a great
training tool for new employees or to freshen up on your own
AccountMate expertise - especially in areas (such as Bank
Reconciliation) that you might not currently be utilizing to
your maximum benefit.
Details for these hour-long presentations are listed below, all
times quoted in "Central Daylight Time." If you're
interested in attending any of them please either reply to
this Newsletter or e-mail us at
nexlan@nexlan.com.
I hope you take this opportunity to attend some of these
webinars - just another benefit of NexLAN and AccounMate!
Regards,
Kevin E. Stroud
NexLAN, LLC
http://www.nexlan.com
July 24 (Thu) Noon-1 PM CDT
- Understanding the AccountMate 7 Customer Inventory
Management Module - This session discusses how to
set up customer part numbers and contract pricing. It also
explores the different options available for item searches and
date entry involving customers set up for the use of their own
part numbers.
July 25 (Fri) Noon-1 PM CDT
- How the Price Control Features Fit Into the
Pricing Hierarchy - The effects the Price Control
module has on the Customer Price Code and Order Quantity pricing
features are discussed. It also explains where the Price
Control features fit into the standard pricing hierarchy.
July 28 (Mon) Noon-1 PM CDT
- Reconciling Your Bank Accounts in AccountMate 7
- The process flow for performing bank
reconciliation in the AccountMate 7 Bank Rec module.
August 12 (Tue) Noon-1 PM CDT
- Understanding the AccountMate 7 Kitting Module
- Differentiates pre-build from on-they-fly kit items and
discusses the setup process for each type. Also explored
is the effects kit transactions have on inventory quantities.
August 15 (Fri) Noon-1 PM CDT
- Exploring the AccountMate 7 Lot Control Process
- Discussed is the setup and use of lot-controlled items and
identification of the reports you use to track units at
different phases during the life of an item.
Aug 19 (Tue) Noon-1 PM CDT -
Understanding the AccountMate 7 Manufacturing Process
- The setup of component and bill of material records
as well as the steps to record each phase of the production
cycle in AccountMate 7.
Aug 21 (Thu) Noon-1 PM CDT
- Exploring the AccountMate 7 Consolidation Process
- This session discusses how to set up companies
for consolidation and explains how AccountMate 7 updates General
Ledger data during this process.
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