Configure and process postdated checks in Dynamics 365 Finance

Configure and process postdated checks in Dynamics 365 Finance

Postdated checks are checks that are issued to make and receive payments on a future date. Therefore, the check can't be cashed until the specified date. Dynamics 365 Finance supports the full management cycle for postdated checks in both accounts receivable and accounts payable.

Business User
Functional Consultant
Dynamics 365
Finance

Module Objectives

In this module, you will learn how to:

  • Process postdated checks.
  • Set up postdated checks.
  • Register and post a postdated check for a customer.
  • Settle a postdated check for a customer.
  • Register and post a postdated check for a vendor.
  • Settle a postdated check for a vendor.

Prerequisites

  • General knowledge of Microsoft Windows
  • Basic understanding of finance and accounting processes
  • The ability to use Finance for basic processing
  • General knowledge of basic navigation in Finance
  • General understanding of purchase order invoicing
  • General understanding of sales order invoicing