Introduction
This module discusses the functionalities in Dynamics 365 Finance that aid in managing important financial processes such as period-end and year-end closing, advanced bank reconciliation, foreign currency revaluation, fiscal year adjustments, consolidation, and more.
Scenario
Imagine you're a financial manager at a multinational corporation. You're tasked with managing the period-end and year-end closing processes, reconciling bank statements, handling foreign currency revaluations, making fiscal year adjustments, and consolidating financial data from various subsidiaries. The complexity of these tasks is compounded by the need to comply with various financial regulations and the sheer volume of transactions. This module guides you through how Dynamics 365 Finance can simplify these tasks and improve the efficiency of your financial operations.