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    • Getting Started
    • Welcome to Business Central
      • What's New
      • Minimum Requirements
      • Frequently Asked Questions
      • Resources for Help and Support
      • Getting Ready for Doing Business
      • Overview of Business Functionality
      • Trying Out a Preview Version
      • Unsubscribe, Remove, or Reset Business Central
      • Troubleshooting Self-Service Sign-Up
      • Your Access to the Intelligent Cloud with Business Central
      • Visit Our Video Library
      • Become a Reseller
      • Extending Business Central
        • Business Central Extensions by Other Providers
    • Working with JustFood
      • Release Notes
        • Spring 2019 Service Pack 1
        • Spring 2019
        • Fall 2018 Update 1
        • Fall 2018
        • 2018
        • 2017 Feature Pack 1
        • 2017
        • 2015 Feature Pack 3
        • 2015 Feature Pack 2 Service Pack 1
        • 2015 Feature Pack 2
        • 2015 Feature Pack 1
        • 2015
      • Applications
        • Application Release Notes
          • 2019 Service Pack 1
          • Spring 2019
          • Fall 2018 Update 1
          • Fall 2018
          • 2018
          • 2017 Feature Pack 1
          • 2017
          • 2015 Feature Pack 3
          • 2015 Feature Pack 2 Service Pack 1
          • 2015 Feature Pack 2
          • 2015 Feature Pack 1
          • 2015
        • Floor
          • Set up Floor
          • Set up Floor by Location
          • Set up Users
          • Set up Screens
          • Customize Menus
          • Set up Guided Interfaces
          • Set up Country of Origin
          • Set up Shipping Agents
        • Plant
          • Create Device Group
          • Create Device
          • Set up Labels
        • Scheduler
          • Create View
      • Setup and Administration
        • Data
          • Generate a Data Dictionary
        • RapidStart
          • Change a Company Status
          • Create a Clean Company
          • Copy Database Data to a Configuration Package
          • Delete Database Data
          • Walkthrough: Populating a New PILOT Company
          • Walkthrough: Working with PILOT Companies
          • Configuration Packages
        • Skype
          • Set Up Skype
          • Launch Skype from JustFood
      • Finance
        • Overhead Rates
          • Assign Overhead Rates
      • Inventory and Warehouse
        • Bins
          • Assign Properties to Bins
          • Set up Locations to use the Day Algorithm
        • Containers
          • Containers Setup
          • View a List of Containers
          • Build a Container
          • Transfer the Contents of a Container to Another Location
          • Transfer the Contents of a Container to Another Container
          • Transfer the Contents of a Container Bin to Another Bin
          • Print a Container Detail Label
        • Dock Staging
          • Install the Dock Staging Extension
          • Turn On Dock Staging for a Location
          • Turn Off Dock Staging for a Location
          • Turn On Dock Staging for a Warehouse Shipment
          • Turn Off Dock Staging for a Warehouse Shipment
          • Validate a Warehouse Shipment that uses Dock Staging
        • Item Recalls
          • Set Up Number Series for Item Recalls
          • Create an Item Recall
          • Post an Item Recall
          • Create an Item Recall Report
          • Create a Posted Item Recall Report
          • Walkthrough: Perform an Item Recall (Original to Usage)
          • Walkthrough: Perform an Item Recall (Usage to Origin)
          • Walkthrough: Set Up and Send a General Notification for a Posted Item Recall
        • Labels
          • Set Up Labels to Print
          • Inventory Label Report
        • Bar Codes
          • Set Up Bar Codes
          • Set Up GS1-128 Bar Codes
          • Set Up Fixed Position Bar Codes
          • Pre-Print Bar Codes Labels
          • Test Parse Bar Codes
          • Test Print Bar Codes
          • Walkthrough: Work with Vendor GS1 Bar Codes
          • Walkthrough: Set up Pre-Printed Bar Codes
        • Lot Properties
          • Assign a Property Code to a Quality Measure Code
          • Walkthrough: Update an Item's Property from a Quality Audit
        • Picks
          • Create a Bulk Pick
          • Walkthrough: Use Bulk Picks in Production
        • Shelf Life
          • Shelf Life for Purchase Orders
          • Shelf Life for Sales Orders
        • Variable Weight
          • Variable Weight Transactions
          • Serial Everywhere
          • Lot Everywhere
          • Lot In/Serial Out
          • Serial In/Serial Out
      • Power BI for JustFood
        • Power BI for JustFood Setup
          • Enable Odata Services
          • View Web Services
          • Connect JustFood Data to Power BI
          • Add a Field to a Power BI Page
          • Create a Custom JustFood Power BI Page
          • Add or Remove Fields to or from a Custom JustFood Power BI Page
        • Microsoft Power BI Guided Learning
        • Change the Type of Visualization
        • Change the Format of the Visualization
        • Publish a Report
        • Refresh the Data for a Report
        • Pin Visualizations to your Dashboard
        • Resize a Dashboard Tile
        • Move a Dashboard Tile
        • Create a Phone View of your Dashboard
        • Share a Dashboard
        • Share a Report
      • Preventative Maintenance
        • Preventative Maintenance Setup
          • Create a Preventative Maintenance Measure Code
          • Create a Preventative Maintenance Measure Code Value
          • Create a Preventative Maintenance Group Code
          • Create a Preventative Maintenance Calculation Method
          • Create a Preventative Maintenance Fault Area Code
          • Create a Preventative Maintenance Fault Code
          • Create a Preventative Maintenance Fault Reason Code
          • Create a Preventative Maintenance Fault Effect Code
          • Create a Preventative Maintenance Fault Resolution Code
        • Create a Preventative Maintenance Procedure
        • Create a Preventative Maintenance Work Order
        • Update a Preventative Maintenance Work Order
        • Post a Preventative Maintenance Work Order
        • Walkthrough: Create a Preventative Maintenance Procedure
        • Walkthrough: Create and Post a Preventative Maintenance Work Order
      • Production
        • Families
          • Set up the Planning Overage Percentage
          • Create Family Groups
          • Create Family BOMs
          • Create a Family with a Header BOM
          • Calculate Family Planning
          • Walkthrough: Work with Families
        • Forecasts
          • Create a Production Forecast using Component History
          • Create a Sales Forecast using Sales History
          • Export Sales History for ForecastX
          • Import ForecastX Data
      • Quality
        • Assign a Property Code to a Quality Measure Code
        • Move an Item on Quality Hold
        • Quality Walkthroughs
      • Rebates
        • Sales Rebates
          • Sales Rebates Setup
          • View a Sales Rebate
          • Create a Sales Rebate Card
          • View Sales Rebate Entries for a Sales Order
          • View Sales Rebate Statistics
          • View the Rebate Entries and the Rebate Ledger Entries for a Sales Rebate
          • View a Sales Rebate Source Document
          • Calculate/Register Sales Rebates
          • View Sales Rebate Ledger Entries
          • View Comments for Sales Rebates
          • Add a Comment to a Sales Rebate
          • Cancel Sales Rebates
          • Post Sales Rebates
        • Purchase Rebates
          • Purchase Rebates Setup
          • View a Purchase Rebate
          • Create a Purchase Rebate Card
          • View Purchase Rebate Entries for a Purchase Order
          • View Purchase Rebate Statistics
          • View the Rebate Entries and the Rebate Ledger Entries for a Purchase Rebate
          • View a Purchase Rebate Source Document
          • Calculate/Register Purchase Rebates
          • View Purchase Rebate Ledger Entries
          • View Comments for Purchase Rebates
          • Add a Comment to a Purchase Rebate
          • View Customers for a Sales-Based Rebate
          • Cancel Purchase Rebates
          • Post Purchase Rebates
      • Sales
        • JustFood Forecasts
        • View a Sales Shipment Summary
        • View Sales Blanket Order Archives
      • Reports
        • Define the Label Layout to Print
        • Reporting Date Feed
        • Set Up Warehouse Documents Reports
      • Walkthroughs
        • Production
          • Families
        • Quality
          • Expired Inventory Quality Audit
          • Manufacturing Quality Audit
          • Pre-Receive Quality Audit
          • Quality Hold Quality Audit
          • Receiving Quality Audit
          • Receiving Quality Audit: Update an Item's Lot Property
          • Receiving Quality Audit using Quality Specifications
          • Shipping Agent Quality Audit
          • Vendor Quality Audit
          • Item Recall: Origin to Usage
          • Item Recall: Usage to Origin)
          • Quality Hold
        • RapidStart
          • Populate a New PILOT Company with Data
          • Work with PILOT Companies and Create a LIVE Company
        • Warehouse
          • Setup: Warehouse Location
          • Bar Codes: Pre-Printed
          • Bar Codes: Vendor GS1
          • Picking: Bulk Picks
          • Variable Weight-Lot Everywhere: Purchase Order
          • Variable Weight-Lot Everywhere: Production Order
          • Variable Weight-Lot Everywhere: Sales Order
          • Variable Weight-Lot In/Serial Out: Purchase Order
          • Variable Weight-Serial In/Serial Out: Purchase Order
        • Workflows
          • General Notification: Blocked Bin
          • General Notification: Item Recalls
          • Approval: Unblock Item
      • Workflows
        • Events
        • Templates
        • Set Up General Notifications for Workflows
        • Approval Workflows
        • Walkthrough: Set up a General Notification for a Blocked Bin
        • Walkthrough: Set up a General Notification for Item Recalls
        • Walkthrough: Set up an Item Approval with Unblock Workflow
    • Working with Business Central
      • Finding Features and Information
      • Tell Me FAQ
      • Sorting, Searching, and Filtering Lists
      • Searching and Filtering FAQ
      • Entering Data
      • Working with Calendar Dates and Times
      • Copying and Pasting
      • Detecting Mandatory Fields
      • Changing Language and Locale
      • Viewing and Editing in Excel
      • Managing Notifications
      • Changing Basic Settings
      • Personalizing Your Workspace
        • Why a Page is Locked from Personalizing
        • Displaying Lists in Different Ways
      • Working with Reports and Batch Jobs
        • Specify Printer Selection for Reports
        • Schedule a Report or Batch Job to Run
        • Managing Saved Settings on Reports
        • View Test Reports Before Posting
        • Run Batch Jobs
      • Managing Report and Document Layouts
        • Updating Report or Document Layouts
        • Making Changes to a Word Report Layout
        • Import and Export a Report or Document Layout
        • Change Which Layout is Currently Used on a Report
        • Add Fields to a Word Report Layout
      • Accessibility and Keyboard Shortcuts
        • Keyboard Shortcuts
        • Keyboard Shortcuts Quick Reference
    • Setting Up Business Central
      • Setting Up Finance
        • Defining Payment Methods
        • Setting Up Posting Groups
        • Prepare Financial Reporting with Account Schedules and Account Categories
        • Work with Payment Tolerances and Payment Discount Tolerances
        • Open a New Fiscal Year
        • Setting Up Calculations and Posting Methods for Value-Added Tax
        • Set Up Unrealized VAT for Cash-Based Accounting
        • Enable Application of Ledger Entries in Different Currencies
        • Set Up an Additional Reporting Currency
        • Update Currency Exchange Rates
        • Set Up Multiple Interest Rates
        • Set Up Invoice Rounding
        • Setting Up the Chart of Accounts
        • Setting Up Cash Flow Analysis
        • Set Up Cash Customers
        • Set Up and Report Intrastat
        • Consolidating Financial Data from Multiple Companies
        • Use Allocation Keys in General Journals
      • Setting Up Banking
        • Set Up Bank Accounts
        • Set Up the Envestnet Yodlee Bank Feeds Service
        • Set Up the Bank Data Conversion Service
        • Define Check Layouts
      • Setting Up Sales
        • Register New Customers
        • Enable Customer Payments Through Payment Services
        • Record Special Sales Prices and Discounts
        • Set Up Salespeople
        • Set Up Document Sending Profiles
        • Send Documents by Email
        • Set Up Shipping Agents
      • Setting Up Purchasing
        • Register New Vendors
        • Record Special Purchase Prices and Discounts
        • Prioritize Vendors
        • Set Up Purchasers
      • Setting Up Inventory
        • Set Up General Inventory Information
        • Work with Responsibility Centers
        • Set Up Locations
        • Register New Items
        • About Item Types
        • Set Up Item Units of Measure
        • Set Up Stockkeeping Units
        • Categorize Items
        • Import Multiple Item Pictures
      • Setting Up Project Management
        • Set Up Resources
        • Set Up Time Sheets
        • Set Up Jobs
      • Setting Up Fixed Assets
        • Set Up General Fixed Assets Information
        • Set Up Fixed Asset Depreciation
        • Define Depreciation Methods
        • Set Up Fixed Asset Insurance
        • Set Up Fixed Asset Maintenance
      • Setting Up Warehouse Management
        • Design Details: Warehouse Overview
        • Set Up Bin Types
        • Create Bins
        • Create Bin Contents
        • Assign Default Bins to Items
        • Set Up Put-away Templates
        • Set Up Warehouse Employees
        • Set Up Locations to Use Bins
        • Convert Existing Locations to Warehouse Locations
        • Set Up Basic Warehouses with Operations Areas
        • Set Up Items and Locations for Directed Put-away and Pick
        • Enable Automatic Breaking Bulk with Directed Put-away and Pick
        • Enable Picking by FEFO
        • Enable Automated Data Capture Systems (ADCS)
        • Restructure Warehouses
      • Setting Up Manufacturing
        • Create Work Center Calendars
        • Set Up Work Centers and Machine Centers
        • Create Routings
        • Create Production BOMs
        • Enable Flushing of Components According to Operation Output
        • Work With Manufacturing Batch Units of Measure
        • Work With Production Families
        • Set Up Standard Routing Lines
        • Subcontract Manufacturing
      • Setting Up Service Management
        • Create Service Items
        • Set Up Standard Service Codes
        • Configure Service Processes
        • Set Up Fault Reporting
        • Set Up Service Offerings
        • Set Up Troubleshooting
        • Set Up Resource Allocation
        • Set Up Pricing and Additional Costs for Services
        • Set Up Service Items and Service Item Components
        • Set Up Work Hours and Service Hours
        • Set Up Statuses for Service Orders and Repairs
        • Set Up a Loaner Program
        • Set Up Service Contracts
      • Setting Up Complex Application Areas Using Best Practices
        • Setup Best Practices: Supply Planning
        • Setup Best Practices: Planning Parameters
        • Setup Best Practices: Global Planning Setup
          • Setup Best Practices: Reordering Policies
          • Setup Best Practices: Planning Parameters
          • Setup Best Practices: Global Planning Setup
        • Setup Best Practices: Costing Methods
        • Setup Best Practices: Reordering Policies
      • Setting Up a Company With RapidStart Services
        • Use the RapidStart Services Implementer Role Center
        • Set Up Company Configuration
          • Manage Company Configuration in a Worksheet
          • Prepare a Configuration Package
        • Apply Configurations to New Companies
          • Create a New Company
          • Configure New Companies
          • Configure a Company with the RapidStart Wizard
          • Copy Data to New Companies
          • Create Journal Opening Balances
        • Gather Customer Setup Data
        • Prepare to Migrate Customer Data
        • Migrate Customer Data
        • Create Custom Company Configuration Packages
        • Tips and Tricks: RapidStart Services
      • Using Business Central as Your Business Inbox in Outlook
        • Synchronize with Contacts in Microsoft Outlook
        • Using Business Central Without Outlook
      • Enabling Your Business Data for Power BI
        • Viewing List Data in Power BI Reports in Business Central
        • Using Business Central as a Power BI Data Source
      • Using Business Central in an Automated Workflow
        • Troubleshooting Integration with Microsoft Flow - Request URL Too Long
      • Connecting to Your Business Central Data to Build a Business App Using PowerApps
      • Changing from a QuickBooks App to Business Central
      • Getting Business Central on Your Mobile Device
      • Bulk Invoicing for Microsoft Bookings
      • Using the same Office 365 account in Business Central and in Microsoft Invoicing
      • Importing Business Data from Other Finance Systems
      • Setting Up Email
      • Creating Number Series
      • Setting Up Base Calendars
    • General Business Functionality
      • Add Comments to Cards and Documents
      • Track Document Lines
      • Send Documents by Email
      • Archive Documents
      • Add Extended Item Text
      • Define User Tasks
      • Add Links to Websites, Documents, or Programs on Records
      • Attaching Files to Cards and Documents
      • Exporting Your Business Data to Excel
      • Posting Documents and Journals
      • Preview Posting Results
      • Working with General Journals
      • Use Job Queues to Schedule Tasks
      • Letting Business Central Suggest Values
    • Administration
      • Understanding Profiles, and Role Centers
      • Managing Users and Permissions
      • Classifying Data Sensitivity
      • Responding to Requests About Personal Data
      • Creating New Companies
      • Logging Changes
      • Using Job Queues to Schedule Tasks
      • Deleting Documents
      • Publishing a Web Service
      • Configuring API Templates
      • Managing Data Encryption
      • Extending Your Trial Version
      • Inspecting Pages
      • Creating a Sandbox Environment
      • Integrating with Dynamics 365 for Sales
        • Setting Up Integration with Dynamics 365 for Sales
        • Set Up a Dynamics 365 for Sales Connection
        • Synchronizing Business Central and Dynamics 365 for Sales
        • Modify Table Mappings for Synchronization
        • Manually Synchronize Table Mappings
        • Schedule a Synchronization
      • Customizing Business Central
        • Customizing Using Extensions
          • Ceridian Payroll
          • Data Replication
          • Dynamics GP Data Migration
          • Essential Business Insights
          • Image Analyzer
          • Intelligent Cloud
          • Microsoft Pay Payments
          • PayPal Payments Standard
          • QuickBooks Data Migration
          • QuickBooks Online Data Migration
          • QuickBooks Payroll
          • Sales and Inventory Forecast
          • WorldPay Payments Standard
          • Yodlee Bank Feeds
          • Accountant Portal for Business Central
          • DK - C5 Data Migration
          • DK - Tax File Formats
          • UK - GetAddress.io UK Postcodes
          • Business Central Extensions by Other Providers
        • Changing Which Features are Displayed
        • Managing Personalization as an Administrator
        • Setting Up a Colored Indicator on Cues
    • Finance
      • Managing Receivables
        • Applying Payments Automatically and Reconciling Bank Accounts
          • Reconcile Payments Using Automatic Application
          • Review or Apply Payments Manually after Automatic Application
          • Reconcile Payments that Cannot be Applied Automatically
          • Map Text on Recurring Payments to Accounts for Automatic Reconciliation
        • Reconcile Customer Payments from a List of Unpaid Sales Documents
        • Reconcile Customer Payments with the Cash Receipt Journal or from Customer Ledger Entries
        • Collect Outstanding Balances
        • Collect Payments with SEPA Direct Debit
        • Block Customers
        • Use Item Charges to Account for Additional Trade Costs
        • Work with Payment Tolerances and Payment Discount Tolerances
        • The Late Payment Prediction Extension
      • Managing Payables
        • Making Payments
          • Working with General Journals
          • Record Payments and Refunds
          • Suggest Vendor Payments
          • Make Check Payments
          • Making Payments with Bank Data Conversion Service or SEPA Credit Transfer
          • Settle Purchase Invoices Promptly
          • Export a Positive Pay file
        • Applying Payments Automatically and Reconciling Bank Accounts
          • Reconcile Payments Using Automatic Application
          • Review or Apply Payments Manually after Automatic Application
          • Reconcile Payments that Cannot be Applied Automatically
          • Map Text on Recurring Payments to Accounts for Automatic Reconciliation
        • Reconcile Customer Payments from a List of Unpaid Sales Documents
        • Reconcile Customer Payments with the Cash Receipt Journal or from Customer Ledger Entries
        • Reconcile Vendor Payments with the Payment Journal or from Vendor Ledger Entries
        • Collect Outstanding Balances
        • Collect Payments with SEPA Direct Debit
        • Block Customers
        • Use Item Charges to Account for Additional Trade Costs
        • Work with Payment Tolerances and Payment Discount Tolerances
        • The Late Payment Prediction Extension
      • Invoicing Prepayments
        • Set Up Prepayments
        • Create Prepayment Invoices
        • Correct Prepayments
      • Managing Bank Accounts
        • Applying Payments Automatically and Reconciling Bank Accounts
        • Reconcile Bank Accounts Separately
        • Transfer Bank Funds
      • Managing Intercompany Transactions
        • Set Up Intercompany
        • Work with Intercompany Documents and Journals
        • Manage the Intercompany Inbox and Outbox
      • Accounting for Costs
        • Terminology in Cost Accounting
        • About Cost Accounting
        • Setting Up Cost Accounting
        • Transferring and Posting Cost Entries
        • Defining and Allocating Costs
        • Creating Cost Budgets
        • Deleting Cost Budget Entries
      • Managing Inventory Costs
        • About Inventory Costing
        • About Calculating Standard Cost
        • Design Details: Inventory Costing
        • Work with Inventory Periods
        • Setting Up Inventory Valuation and Costing
        • Revalue Inventory
        • Adjust Item Costs
        • Handle Inventory and Manufacturing Costs
        • Update Standard Costs
        • Remove and Reapply Item Ledger Entries
        • Close Open Item Ledger Entries Resulting from Fixed Application in the Item Journal
        • Reporting Costs and Reconciling with the General Ledger
          • Reconcile Inventory Costs with the General Ledger
          • Monitor Job Progress and Performance
      • Closing Years and Periods
        • Specify Posting Periods
        • Closing Periods
        • Update Currency Exchange Rates
        • Allocate Costs and Income
        • Report VAT to the Tax Authorities
        • Preparing Pre-Closing Reports
        • Closing Books
        • Preparing Closing Statements
        • Close Accounting Periods
        • Close Income Statement Accounts
        • Post the Year-End Closing Entry
      • Accountant Experiences in Business Central
        • Inviting Your External Accountant to Your Business Central
      • Understanding the General Ledger and the COA
      • Working with Accounting Periods and Fiscal Years
      • Consolidating Financial Data from Multiple Companies
      • Working with Dimensions
      • Create G/L Budgets
      • Post Transactions Directly to the General Ledger
      • Reverse Postings
      • Allocate Costs and Income
      • Use Item Charges to Account for Additional Trade Costs
      • Record and Reimburse Employees' Expenses
      • Defer Revenues and Expenses
      • Import Payroll Transactions
      • Report VAT to Tax Authorities
      • Work with VAT on Sales and Purchases
      • Convert Service Contracts that Include VAT Amounts
      • Analyzing Financial Statements in Excel
      • Analyzing Cash Flows in Your Company
      • Walkthrough: Making Cash Flow Forecasts by Using Account Schedules
    • Business Intelligence
      • Analyze Actual Amounts Versus Budgeted Amounts
      • Prepare Financial Reporting with Account Schedules and Account Categories
      • Set Up and Publish KPI Web Services Based on Account Schedules
      • Analyze Data by Dimensions
      • Create Analysis Reports
      • Create Reports with XBRL
    • Sales
      • Register New Customers
      • Make Sales Quotes
      • Invoice Sales
      • Sell Products
      • Posting Sales
      • Create Recurring Sales and Purchase Lines
      • Make Drop Shipments
      • Create Special Orders
      • Correct or Cancel Unpaid Sales Invoices
      • Process Sales Returns or Cancellations
      • Work with Blanket Sales Orders
      • Combine Shipments on a Single Invoice
      • Calculate Order Promising Dates
      • Track Packages
      • Date Calculation for Sales
      • Create a Forecast
      • Merge Duplicate Records
    • Purchasing
      • Record Purchases
      • Request Quotes
      • Purchase Items for a Sale
      • Posting Purchases
      • Correct or Cancel Unpaid Purchase Invoices
      • Combine Receipts on a Single Invoice
      • Process Purchase Returns or Cancellations
      • Receive and Convert Electronic Documents
      • Date Calculation for Purchases
      • Merge Duplicate Records
    • Inventory
      • Register New Items
      • Work with Bills of Material
      • Categorize Items
      • Work with Item Attributes
      • Work with Catalog Items
      • Count Inventory Using Documents
      • Count, Adjust, and Reclassify Inventory Using Journals
      • View the Availability of Items
      • Transfer Inventory Between Locations
      • Reserve Items
      • Work with Serial and Lot Numbers
      • Use Item Cross References
      • Trace Item-Tracked Items
      • Block Items
      • Work with Responsibility Centers
    • Project Management
      • Create Jobs
      • Use Resources for Jobs
      • Use Time Sheets for Jobs
      • Manage Job Budgets
      • Record Usage for Jobs
      • Manage Job Supplies
      • Understanding WIP Methods
      • Monitor Job Progress and Performance
      • Invoice Jobs
    • Fixed Assets
      • Acquire Fixed Assets
      • Maintain Fixed Assets
      • Insure Fixed Assets
      • Transfer, Split, or Combine Fixed Assets
      • Revalue Fixed Assets
      • Depreciate or Amortize Fixed Assets
      • Dispose of or Retire Fixed Assets
      • Manage Budgets for Fixed Assets
    • Relationship Management
      • Setting Up Relationship Management
      • Managing Contacts
        • Set Up Contacts
        • Create Contacts
        • Merge Duplicate Records
        • Creating Contact Persons
      • Managing Segments
        • Create Segments
        • Add Contacts to Segments
        • Managing Interaction and Segments
      • Managing Interactions
      • Managing Marketing Campaigns
        • Create Interactions on Contacts and Segments
        • Automatically Record Interactions with Contacts
      • Managing Sales Opportunities
        • Set Up Opportunity Sales Cycles and Cycle Stages
        • Create Opportunities
        • Processing Sales Opportunities
      • Use Profile Questionnaires to Classify Business Contacts
      • Using Dynamics 365 for Sales from Business Central
        • Couple and Synchronize Records Manually
        • View the Status of a Synchronization
    • Human Resources
      • Register Employees
      • Manage Employee Absence
    • Planning
      • About Planning Functionality
      • Subcontract Manufacturing
      • Planning With or Without Locations
      • Create a Forecast
      • Create Production Orders from Sales Orders
      • Plan Project Orders
      • Plan for New Demand Order by Order
      • Run Full Planning, MPS or MRP
      • Replan or Refresh Production Orders Directly
      • Track Relations Between Demand and Supply
      • Modify Planning Suggestions in a Graphical View
    • Assembly Management
      • Understanding Assemble to Order and Assemble to Stock
      • Quote an Assemble-to-Order Sale
      • Assemble Items
      • Sell Items Assembled to Order
      • Sell Inventory Items in Assemble-to-Order Flows
      • Sell Assemble-to-Order Items and Inventory Items Together
      • Create Blanket Assembly Orders
      • Undo Assembly Posting
      • Work with Bills of Material
      • Design Details: Assembly Order Posting
    • Manufacturing
      • About Production Orders
      • Create Production Orders
      • Subcontract Manufacturing
      • Post Consumption and Output for One Released Production Order Line
      • Batch Post Consumption
      • Batch Post Output and Run Times
      • Reverse Output Posting
      • Post Scrap
      • View the Load in Work and Machine Centers
      • Post Capacities
      • About Finished Production Order Costs
    • Warehouse Management
      • Receive Items
      • Cross-Dock Items
      • Putting Items Away
        • Put Items Away with Inventory Put-aways
        • Put Items Away with Warehouse Put-aways
        • Put Away Production or Assembly Output
        • Plan Put-Aways in Worksheets
        • Pick and Put Away Without a Source Document
        • Walkthrough: Receiving and Putting Away in Basic Warehouse Configurations
        • Walkthrough: Receiving and Putting Away in Advanced Warehouse Configurations
      • Moving Items
        • Move Items Ad Hoc in Basic Warehouse Configurations
        • Move Items in Advanced Warehouse Configurations
        • Move Components to an Operation Area in Basic Warehouse Configurations
        • Calculate Bin Replenishment
        • Plan Warehouse Movements in Worksheets
      • Picking Items
        • Pick Items with Inventory Picks
        • Pick Items for Warehouse Shipment
        • Pick for Production or Assembly in Basic Warehouse Configurations
        • Pick for Production or Assembly in Advanced Warehouse Configurations
        • Plan Picks in Worksheets
        • Pick and Put Away Without a Source Document
        • Picking By FEFO
        • Split Warehouse Activity Lines
        • Walkthrough: Picking and Shipping in Basic Warehouse Configurations
      • Ship Items
      • Find Your Warehouse Assignments
      • Use Automated Data Capture Systems (ADCS)
    • Service Management
      • Planning Service
        • Service Price Management
        • Service Order Status and Repair Status
        • Allocation Status and Repair Status of Service Items
        • Viewing Service Statistics
      • Fulfilling Service Contracts
        • Multiple Contracts
        • Work with Service Contracts and Service Contract Quotes
        • Change the Annual Amount on Service Contracts or Contract Quotes
      • Delivering Service
        • Create Service Quotes
        • Create Service Orders
        • Create Service Invoices or Credit Memos
        • Allocate Resources
        • Work on Service Tasks
        • Service Posting
        • Post Service Orders and Credit Memos
        • Lend and Receive Loaners
      • Incoming Documents
        • Set Up Incoming Documents
        • Processing Incoming Documents
          • Create Incoming Document Records
          • Use OCR to Turn PDF and Image Files into Electronic Documents
          • Create Incoming Document Records Directly from Documents and Entries
          • Find Posted Documents without Incoming Document Records
          • Manage Many Incoming Document Records
      • Workflow
        • Setting Up Workflows
          • Set Up Workflow Users
          • Set Up Approval Users
          • Setting Up Workflow Notifications
          • Specify When and How to Receive Notifications
          • Create and Modify a Custom Report or Document Layout
          • Set up Email
          • Create Workflows
          • Create Workflows from Workflow Templates
          • Export and Import Workflows
          • Walkthrough: Setting Up and Using a Purchase Approval Workflow
          • Walkthrough: Implementing New Workflow Events and Responses
        • Using Workflows
          • Enable Workflows
          • Use Approval Workflows
          • Restrict and Allow Usage of a Record
          • View Archived Workflow Step Instances
          • Delete Workflows
      • Exchanging Data Electronically
        • About the Data Exchange Framework
        • Setting Up Data Exchange
          • Set Up a Document Exchange Service
          • Set Up Incoming Documents
          • Update Currency Exchange Rates
          • Set Up Electronic Document Sending and Receiving
          • Set Up SEPA Credit Transfer
          • Set Up SEPA Direct Debit
          • Set Up the Bank Data Conversion Service
          • Set Up the Bank Statement Service
          • Set Up Bank Accounts
          • Use XML Schemas to Prepare Data Exchange Definitions
          • Set Up Data Exchange Definitions
        • Exchanging Data
          • Send Electronic Documents
          • Use OCR to Turn PDF and Image Files into Electronic Documents
          • Receive and Convert Electronic Documents
          • Set Up the Envestnet Yodlee Bank Feeds Service
          • Export Payments to a Bank File
          • Making Payments with Bank Data Conversion Service or SEPA Credit Transfer
          • Collecting Payments with SEPA Direct Debit
          • Update Currency Exchange Rates
          • Field Mapping When Importing SEPA CAMT Files
          • Field Mapping When Exporting Payment Files Using Bank Data Conversion Service
    • Business Process Walkthroughs
      • Walkthrough: Conducting a Sales Campaign
      • Walkthrough: Setting Up and Invoicing Sales Prepayments
      • Walkthrough: Setting Up and Using a Purchase Approval Workflow
      • Walkthrough: Receiving and Putting Away in Basic Warehouse Configurations
      • Walkthrough: Receiving and Putting Away in Advanced Warehouse Configurations
      • Walkthrough: Planning Supplies Manually
      • Walkthrough: Planning Supplies Automatically
      • Walkthrough: Selling, Assembling, and Shipping Kits
      • Walkthrough: Managing Projects with Jobs
      • Walkthrough: Calculating Work in Process for a Job
      • Walkthrough: Picking and Shipping in Basic Warehouse Configurations
      • Walkthrough: Tracing Serial/Lot Numbers
      • Walkthrough: Making Cash Flow Forecasts by Using Account Schedules
    • Design Details
      • Design Details: Supply Planning
        • Design Details: Central Concepts of the Planning System
        • Design Details: Reservation, Order Tracking, and Action Messaging
        • Design Details: Balancing Demand and Supply
        • Design Details: Handling Reordering Policies
        • Design Details: Planning Parameters
        • Design Details: Planning Assignment Table
        • Design Details: Demand at Blank Location
        • Design Details: Transfers in Planning
      • Design Details: Inventory Costing
        • Design Details: Costing Methods
        • Design Details: Item Application
        • Design Details: Known Item Application Issue
        • Design Details: Cost Adjustment
        • Design Details: Posting Date on Adjustment Value Entry
        • Design Details: Expected Cost Posting
        • Design Details: Average Cost
        • Design Details: Variance
        • Design Details: Rounding
        • Design Details: Cost Components
        • Design Details: Inventory Periods
        • Design Details: Inventory Posting
        • Design Details: Production Order Posting
        • Design Details: Assembly Order Posting
        • Design Details: Reconciliation with the General Ledger
        • Design Details: Accounts in the General Ledger
        • Design Details: Inventory Valuation
        • Design Details: Revaluation
      • Design Details: Warehouse Management
        • Design Details: Warehouse Overview
        • Design Details: Warehouse Setup
        • Design Details: Inbound Warehouse Flow
        • Design Details: Internal Warehouse Flows
        • Design Details: Availability in the Warehouse
        • Design Details: Outbound Warehouse Flow
        • Design Details: Integration with Inventory
      • Design Details: Item Tracking
        • Design Details: Item Tracking Design
        • Design Details: Item Tracking Posting Structure
        • Design Details: Active versus Historic Item Tracking Entries
        • Design Details: Item Tracking Lines Page
        • Design Details: Item Tracking Availability
        • Design Details: Item Tracking and Planning
        • Design Details: Item Tracking and Reservations
        • Design Details: Item Tracking in the Warehouse
      • Design Details: General Journal Post Line
        • General Journal Post Line Overview
        • Design Details: Posting Interface Structure
        • Design Details: Posting Engine Structure
        • Design Details: Codeunit 12 Changes: Mapping Global Variables for General Journal Post Line
        • Design Details: Codeunit 12 Changes: Changes in General Journal Post Procedures
      • Design Details: Dimension Set Entries
        • Design Details: Dimension Set Entries Overview
        • Design Details: Searching for Dimension Combinations
        • Design Details: Table Structure
    • Local Functionality
      • Australia
        • VAT & Tax
          • Tax
          • Withholding Tax
          • Set Up Withholding Tax
          • Set Up Revenue Types for Withholding Tax
          • Set Up Vendors Without ABN for Calculating the Withholding Tax
          • Calculate and Post Withholding Tax Settlements
          • View Withholding Tax Entries
          • View Posted Tax Invoices
          • View Posted Tax Credit Memos
          • Set Up Goods and Service Tax Posting
          • Calculate Goods and Services Tax on Prepayments
          • Adjust Settlement Exchange Rates for VAT Entries
          • Print Goods and Service Tax Settlement Reports
        • Banking & Payments
          • Compare Bank Cash Flow
          • Create Check Installments
          • Electronic Funds Transfer (EFT)
          • Print Bank Account Reconciliation Reports
          • Print Deposit Slip Reports
        • Core Finance
          • Set Up Business Units for Business Activity Statements
          • Print Balance Sheet Reports
          • Print Income Statements
          • Calculating Distribution Amounts
        • General
          • Addresses
          • Determine Sales Price by Cost Plus Percentage
          • Australian Business Numbers and Adjustment Notes
          • Enter Australian Business Numbers
      • Austria
        • VAT & Tax
          • Create a VAT Statement
          • VAT Reporting
        • Banking & Payments
          • Print Vendor Payments List Reports
        • Purchasing
          • Delivery Reminders
          • Set Up Delivery Reminders
          • Set Up Delivery Reminder Terms, Levels, and Text
          • Assign Delivery Reminder Codes to Vendors
          • Generate Delivery Reminders
          • Create Delivery Reminders Manually
          • Issue Delivery Reminders
          • Print Test Reports for Delivery Reminders
        • General
          • Copy Existing Items to New Items
          • Print General Ledger Setup Information
          • Print Sales and Purchase Orders During Batch Posting
      • Belgium
        • VAT & Tax
          • Belgian VAT
          • Set Up Non-Deductible VAT
          • Make Manual Corrections to VAT
          • Print Periodic VAT Reports
          • Set Up Belgian Tariff Numbers
          • Belgian Intrastat Reporting
          • Set Up Intrastat Establishment Numbers
          • Print the Intrastat Form Report
          • Set Up Declaration Types
          • Export Intrastat Third-Party Declarations
        • Banking & Payments
          • Set Up Bank Accounts for CODA
          • Apply CODA Statements
          • Automatically Transfer and Post CODA Statements
          • CODA Bank Statements
          • Download CODA Files from an Isabel Server
          • Belgian Electronic Banking
          • Set Up Electronic Banking
          • Set Up Export Protocols
          • Belgian Electronic Payments
          • Set Up IBLC-BLWI Transaction Codes
          • Set Up Vendors for Automatic Payment Suggestions
          • Create Payment Journal Templates and Batches
          • Test Electronic Payments
          • Generate Payment Suggestions
          • Isabel 6
          • Upload Payment Files to an Isabel Server
          • Import CODA Statements
          • Manage Electronic Payment Lines
          • Manually Transfer and Post CODA Statements
          • Print Payment Files
          • SEPA Payments
          • Activate SEPA Payments
          • File Non-Euro SEPA Payments
          • File SEPA Payments
          • Direct Debit Using Domiciliation
          • Set Up Domiciliations
          • Edit and Delete Domiciliation Lines
          • Test Domiciliations
          • Export and Post Domiciliations
          • Generate Domiciliation Suggestions
          • Summarizing Payment Lines and General Journal Lines
          • Archive IBS Log Entries
        • Core Finance
          • Apply and Unapply General Ledger Entries
          • Create Financial Journals
          • Export to Accon
        • General
          • Enterprise Numbers and Branch Numbers
          • Limit the Posting Period
          • Set the Work Date as the Posting Date
      • Canada
        • VAT & Tax
          • Reporting Sales Tax and Goods/Services Tax in Canada
          • Reporting Sales Tax in Canada
          • Set Up Unrealized Sales Tax and Sales Payment Discounts
          • Set Up Use Tax and Purchase Tax
        • Banking & Payments
          • Create Deposits
          • Manage Customer Credit Information
          • Make Electronic Payments
        • General
          • Print Troubleshooting Reports
          • Work With GIFI Codes
      • Czech Republic
        • VAT & Tax
          • VAT Control Report
        • Banking & Payments
          • Registration of Sales (EET)
      • Denmark
        • VAT & Tax
          • Print VAT Reconciliation Reports
          • VAT-VIES Reporting
        • Banking & Payments
          • FIK Details in the Payment Reconciliation Journal
          • The Payments and Reconciliations (DK) Extension
        • Electronic Invoicing
          • Overview of OIOUBL Electronic Invoicing
          • Set Up Customers for OIOUBL
          • Set Up OIOUBL Electronic Invoicing
          • The OIOUBL Extension for Electronic Invoicing
          • Create Electronic Documents in an OIOUBL Format
        • Payroll
          • Payroll Data Definitions (DK)
      • Finland
        • VAT & Tax
          • Print Finnish Intrastat Reports
          • Print VAT Information on Invoices
          • VAT-VIES Declaration in Finland
        • Banking & Payments
          • Electronic Banking in Finland
          • Generate Payment Files
          • Set Up Bank Reference Files
          • SEPA Credit Transfer Payments
          • Disregard Payment Discounts
        • Core Finance
          • Set Up Automatic Account Posting Groups
          • Automatic Account Codes
          • Posting Depreciation Differences
      • France
        • VAT & Tax
          • Export General Ledger Entries for Tax Audits
          • Export General Ledger Entries to an XML File
          • Requirements for Reporting Declaration of Trade in Goods
        • Banking & Payments
          • Set Up Payment Addresses
          • Set Up Payment Statuses
          • Set Up Payment Steps
          • Set Up Payment Classes
          • Archive Payment Slips
          • Create Payment Slips
          • Export Payments
          • Export or Import Payment Management Setup Parameters
          • Payment Management
          • Post Payment Slips
        • Core Finance
          • Apply General Ledger Entries
          • Unapply General Ledger Entries
          • Close a Year
          • Close Income Statement Accounts
          • Fiscally Close Accounting Periods
          • Fiscally Close Years
          • Fiscal Periods and Fiscal Years
          • General Ledger
          • Open a New Fiscal Year Duplicate
          • Post the Year-End Closing Entry
          • Overview of Year-End Processes
          • Print General Ledger Reports
          • Reopen Accounting Periods
          • Specify Posting Periods
          • View Ledger Reconciliations
        • Fixed Assets
          • Set Up Accelerated Depreciation
          • Accelerated Depreciation
          • Calculate Accelerated Depreciation
      • Germany
        • VAT & Tax
          • Set Up Reports for VAT and Intrastat
          • Set Up VAT Reports
          • VAT Reporting
          • Create VAT Reports
          • Correct VAT Reports
          • Sales VAT Advance Notifications
          • Create and Submit Sales VAT Advance Notifications
          • Electronic Submission of Sales VAT Advance Notifications to ELSTER
          • Declare VAT-VIES Tax
          • ELSTER Transmission Overview
          • Error Messages of the Elster Transfer Handler
        • Banking & Payments
          • Print Vendor Payments List Reports
        • Core Finance
          • Export and Print Intrastat Reports
          • Post a Negative Entry
          • Process for Digital Audits
          • Set Up Data Exports for Digital Audits
          • Set Up Data Exports for GDPDU
          • Export Data for a Digital Audit
          • GDPDU Filter Examples
          • Upgrade a .DTD Definition File
          • Walkthrough: Exporting Data for a Digital Audit
          • Walkthrough: Exporting GDPDU Data
        • Purchasing
          • Set Up Delivery Reminders
          • Set Up Delivery Reminder Terms, Levels, and Text
          • Delivery Reminders
          • Assign Delivery Reminder Codes to Vendors
          • Create Delivery Reminders Manually
          • Generate Delivery Reminders
          • Issue Delivery Reminders
          • Print Test Reports for Delivery Reminders
        • General
          • Currency Exchange Rates
          • EU Sales List in Germany
          • Include Company Registration Numbers on Sales Reports and Purchase Reports
          • Print Sales and Purchase Orders During Batch Posting
          • Print General Ledger Setup Information
          • Copy Existing Items to New Items
          • Certification of Business Central for German market (document is in German)
      • Iceland
        • VAT & Tax
          • Icelandic Tax Regulations for Conditional Discounts
          • Print VAT Summary Information on Documents
          • Special Data Output and Reports for the Tax Authority
        • Electronic Invoicing
          • Electronic Invoicing Requirement: Issuing Single Copy Invoice
        • General
          • Map IRS Numbers to the Chart of Accounts
          • Deleting Posted Invoices and Credit Memos
      • Italy
        • VAT & Tax
          • Italian VAT
          • Submit VAT Statements
          • Correct VAT Transactions Reports
          • Create Electronic VAT Transactions Reports
          • Export VAT Transactions Reports
          • Update VAT Transactions Data
          • Prepare for VAT Transactions Reports
          • Print and Reprint G/L Books and VAT Registers
          • Print Intrastat Reports for Italy
          • Print Withholding Reports
        • Banking & Payments
          • Set Up Payment Terms
          • Set Up Automatic Payments and Automatic Bills
          • Vendor Payments and Customer Bills Overview
          • Issue Vendor Payments and Customer Bills
        • Core Finance
          • Close a Fiscal Year
          • Define Debit and Credit Amounts
          • Reversing Journal Entries
        • Inventory
          • Set Up Initial Item Costs
          • Fiscal Inventory Valuation
          • Set Up Fiscal Inventory Valuation
        • Fixed Assets
          • Italian Fixed Assets
          • Set Up Compressed Depreciation of Fixed Assets
          • Set Up Alternate Depreciation Methods
          • Create Multiple Fixed Asset Cards
          • Print Depreciation Book Reports
        • General
          • Set Up Company Information
          • Italian Subcontracting
          • Set Up Journal Templates and Batches
          • Report Trade with Customers and Vendors in Blacklist Countries and Regions
      • Mexico
        • VAT & Tax
          • Mexico Sales Tax
          • Set Up Use Tax and Purchase Tax
          • Set Up Unrealized Sales Tax and Sales Payment Discounts
          • Reporting Sales Tax in Mexico
          • Create Deposits
          • Tax Identification Types for Mexico
          • VAT Recalculation
        • Electronic Invoicing
          • Electronic Invoicing
          • Set Up Electronic Invoicing
          • Generate Electronic Invoices
          • Electronic Accounting Regulations in Mexico
          • Make Electronic Payments
        • General
          • Set Up PAC Web Services
          • Print Troubleshooting Reports
      • Netherlands
        • VAT & Tax
          • Create a Audit File for the Tax Authority
          • Set Up VAT Categories
          • Electronic VAT and ICP Declarations
          • Set Up Electronic VAT and ICP Declarations
          • Submitting Electronic VAT and ICP Declarations
        • Banking & Payments
          • Dutch Electronic Banking
          • Telebanking
          • Payment Scenarios
          • Payment Scenario 1 - Domestic Payments (LCY to LCY)
          • Payment Scenario 2 - Foreign Payment (FCY to FCY)
          • Payment Scenario 3 - Foreign Payment (LCY to FCY)
          • Create Proposals
          • Docket Reports
          • Enter and Post Cash and Bank or Giro Journals
          • Print Test Reports for Cash and Bank or Giro Journals
          • Single Euro Payments Area (SEPA)
          • Activate SEPA Payments
          • Submit Vendor Payments Electronically in SEPA ISO 20022 Payment Format
          • Create and Export Payment History
          • Import and Reconcile Bank Statements
        • Core Finance
          • General Ledger
          • Apply and Unapply General Ledger Entries
          • Required Descriptions in G/L Entries
        • Purchasing
          • Check Purchase Amounts
          • Edit Document Amounts in Purchase Invoices and Credit Memos
          • Set Up Validation of Purchase Amounts
        • General
          • CMR Notes
          • Dutch Postal Codes
          • Import Postal Codes
          • Import Postal Code Updates
      • New Zealand
        • VAT & Tax
          • Withholding Tax
          • Set Up Withholding Tax
          • Set Up Revenue Types for Withholding Tax
          • Set Up Goods and Services Tax Posting
          • Set Up Vendors Without ABN for Calculating Withholding Tax
          • Calculate and Post Withholding Tax Settlements
          • View Withholding Tax Entries
          • View Posted Tax Credit Memos
          • View Posted Tax Invoices
          • Adjust Settlement Exchange Rates for VAT Entries
          • Calculate Goods and Services Tax on Prepayments
          • Print Goods and Services Tax Settlement Reports
        • Banking & Payments
          • Compare Bank Cash Flow
          • Create Check Installments
          • Electronic Funds Transfer
          • Print Deposit Slip Reports
          • Print Bank Account Reconciliation Reports
        • Core Finance
          • Calculating Distribution Amounts
          • Print Balance Sheet Reports
          • Print Income Statements
        • General
          • Addresses
          • Determine Sales Price by Cost Plus Percentage
          • Enter New Zealand Business Numbers
          • New Zealand Inland Revenue Department Numbers and Adjustment Notes
      • Norway
        • VAT & Tax
          • Norwegian VAT Reporting
          • Norwegian VAT Codes
          • How to Use One VAT Code in Journals
          • Proportional VAT
          • Calculate Proportional VAT
          • Print a VAT Reconciliation Report
        • Banking & Payments
          • Electronic Banking in Norway
          • Electronic Payments to Vendors in Norway
          • EHF Electronic Invoicing in Norway
          • Set Up Customers for EHF
          • Set Up EHF
          • Create Electronic Documents for EHF
          • Create Manual Remittance Payments
          • Set Up Remittance Agreements
          • Set Up Vendors for Remittance
          • Recipient Reference Codes
          • Set Up Payment Line Information
          • Create Remittance Accounts
          • Test Remittance Payments
          • Create Remittance Suggestions
          • Types of Payment Return Files
          • Import Payment Return Data
          • Remittance Errors
          • View Remittance Error Codes
          • Cancel Payments
          • Delete Remittance Payment Orders
          • Export Remittance Payments
          • Norwegian Giro and OCR-B Font
          • Set Up OCR Payments
          • Import and Post OCR Payments
          • Print the OCR Journal Test Report
        • Core Finance
          • Apply General Ledger Entries in Closed Periods
        • General
          • Recurring Orders
          • Create Recurring Orders
          • Set Up Recurring Groups
          • Set Up Recurring Orders
          • Payroll Data Definitions
          • Import Payroll Transactions
          • Set Up KID Numbers on Sales Documents
          • Set Up Document Printing
      • Spain
        • VAT & Tax
          • VAT Reports
          • Report 340
          • Create Report 340
          • Report 347
          • Create Report 347
          • Report 349
          • Create Report 349
          • Set Up 340 Reports for Small Businesses
          • Create Templates for Telematic VAT Statements in Text File Format
          • Create Templates for Telematic VAT Statements in XML File Format
          • Export VAT Statements in XML Format
          • Export VAT Statements in Text Format
          • Equivalence Charges
        • Banking & Payments
          • Electronic Payments AEB N34.1
          • Electronic Payments – AEB N34.1
          • Set Up Bank Accounts for Electronic Payments
          • Pay Vendors by Using Electronic Payments
          • Export Electronic Payments
          • Void Electronic Payments
          • Set Up Bank CCC Codes
          • Enter CCC Codes
          • Set Up Payment Days and Non-Payment Periods
          • Cash Payments
        • Electronic Invoicing
          • Cartera Module
          • Receivables Cartera Module
          • Payments Cartera Module
          • SII - Invoice and Credit Memo Types in Sales and Purchase Documents
        • Core Finance
          • Set Up and Close Income Statement Balances
          • Indent and Validate Chart of Accounts
          • Ignore Discounts in General Ledger Accounts
          • Export Account Schedules to ASC Format
          • Print Account Book Reports
          • Print Sales and Purchase Invoice Books
          • Transaction Numbers
          • Print and Post All Transactions for a Period
        • General
          • Corrective Invoices
          • Calculating Due Dates
          • Set Up Operation Codes
          • Enter NACE Codes
          • Set Limits for Due Dates
      • Sweden
        • VAT & Tax
          • Set Up EU Third-Party Purchase Transactions
        • Core Finance
          • Automatic Account Codes
          • Set Up Automatic Account Posting Groups
          • Import and Export Data in Standard Import Export Format
          • Print Balance Sheet and Income Statement Reports
      • Switzerland
        • VAT & Tax
          • Create and print a Swiss VAT Statement
          • Print Swiss VAT Statements (Older Versions)
          • Swiss Value Added Tax
          • VAT Rates for Switzerland
        • Banking & Payments
          • QR Code on Swiss Payment Slips
          • Close an LSV Collection
          • Export Payments Using LSV
          • Import ESR Payments
          • Print ESR Invoices
          • Import Swiss Bank Clearing Numbers
          • Post LSV Payments
          • Print Vendor Payments List Reports
          • Process an LSV Collection
          • Swiss Electronic Payments
          • Swiss Electronic Payments Using ESR
          • Swiss Electronic Payments Using LSV
        • Core Finance
          • Swiss General Ledger Accounts
          • Balance
          • Adjust Exchange Rates
          • View Temporary Balances in General Ledger Journals
          • Print General Ledger Setup Information
        • Purchasing
          • Delivery Reminders
          • Set Up Delivery Reminders
          • Set Up Delivery Reminder Terms, Levels, and Texts
          • Assign Delivery Codes to Vendors
          • Create Delivery Reminders Manually
          • Issue Delivery Reminders
          • Generate Delivery Reminders
          • Print Test Reports for Delivery Reminders
        • Inventory
          • Swiss Inventory Management
          • Copy Existing Items to New Items
          • Print an Inventory Picking List from a Sales Order
        • General
          • Import Swiss Post Codes
          • Swiss Purchase Documents and Sales Orders
          • Print Sales and Purchase Orders During Batch Posting
      • United Kingdom
        • VAT & Tax
          • Making Tax Digital - VAT Returns submission
          • Change VAT Setup in Journals
          • Print VAT Audit Reports
          • Print VAT Reports
          • Set Up Reverse Charges on VAT
        • Banking & Payments
          • Print Checks for APACS
          • Print Remittance Advice
        • Fixed Assets
          • Define Accounting Periods for Straight Line Depreciation of Fixed Assets
        • General
          • Set Up a Posting Date Warning
          • Enter Statutory Information
          • The GetAddress.io UK Postcodes Extension
          • Set Up the GetAddress.io UK Postcodes Extension
          • Enter External Document Numbers
          • Print Direct Sales and Purchase Details Reports
      • United States
        • Tax
          • US Sales Tax
          • Reporting Sales Tax in the US
          • Reporting Transactions as 1099 Liable in the US
          • Set Up Use Tax and Purchase Tax
          • Set Up Unrealized Sales Tax and Sales Payment Discounts
        • Banking & Payments
          • Create Deposits
          • Reconcile Bank Accounts
          • Make Electronic Payments
        • General
          • How to Manage Customer Credit Information
          • Print Troubleshooting Reports
      • Submit Regulatory Alerts
    • Compliance
      • Application Compliance
      • Service Compliance
      • Certifications

    What's New in JustFood Spring 2019 | July 2019

    These Release Notes include information about the new features, changes, and fixes in JustFood Spring 2019.

    Some of the new features or changes include a video clip that demonstrates what is new or has changed. To view a single video that includes all information for the release, select the following video:

    For release information related to the JustFood applications, see What's New in JustFood Spring 2019 Applications.

    Microsoft Dynamics 365 Business Central Spring 2019 Platform

    JustFood has been updated to work with the Microsoft Dynamics 365 Business Central Spring 2019 platform.

    Upgrade Toolkit

    The following upgrade toolkits have been created:

    From To
    JustFood Fall 2018 JustFood Spring 2019
    JustFood 2018 JustFood Spring 2019

    For information about the Microsoft upgrade steps, see Business Central Single-Tenant Full Upgrade Quick Reference.

    Dock Staging

    The JustFood Spring 2019 release introduces the capability for warehouse employees to place warehouse shipments, in advance of the shipment time, in a staging dock. Before the warehouse shipments are posted, the warehouse employees must perform a validation of the warehouse shipment.

    The dock staging process in JustFood is as follows:

    1. Dock staging must be set up for locations and warehouse shipments.

    2. During the warehouse pick process, the one or more items that make up a warehouse shipment must be assigned to one or more place containers.

    3. Before the warehouse shipment can be posted, the one or more warehouse shipment containers must be validated.

    4. After the warehouse shipment has passed validation, the warehouse shipment can be posted.

    To support this functionality, the following changes have been made to JustFood:

    • A Dock Staging extension has been added.

    • On the Location Card page, on the Warehouse FastTab, the Use Dock Staging field has been added. The Use Dock Staging field provides the capability for you to specify the default dock staging setting for warehouse shipments for that location. When the Location Card page has Use Dock Staging turned on, any warehouse shipments that are created for that location will automatically have Use Dock Staging turned on. Alternatively, when the Location Card page has Use Dock Staging turned off, any warehouse shipments that are created for that location will automatically have Use Dock Staging turned off.

      Note

      On the Location Card page, the Use Dock Staging field only determines the default dock staging setting for warehouse shipments for that location. On the Warehouse Shipment page, Use Dock Staging can still be turned on or turned off, regardless of how on the Location Card page, the Use Dock Staging field is set.

    • On the Warehouse Shipment page, on the General FastTab, the Use Dock Staging field has been added. The Use Dock Staging field provides the capability for you to turn on or turn off dock staging for a specific warehouse shipment.

    • On the Warehouse Pick page, a new Place Container No. field has been added. When dock staging is turned on, before a pick can be registered, for each place pick line, a value must be entered in the Place Container No. field. When dock staging is turned off, the Place Container No. field is optional.

    • On the Warehouse Shipment page, when one or more containers require validation, the following new notification message is displayed:

      <number> container(s) on shipment <warehouse shipment no.> needs validation.

    • On the Warehouse Shipment page, on the action bar, a new Load Validation action has been added. Before a warehouse shipment can be posted, you must choose the Load Validation action.

    • When you choose the new Load Validation action, the new Load Validation page opens, where you can specify whether a container has passed validation.

    • From the new Load Validation page, on the action bar, you can choose Navigate > Contents to access a new Load Validation Contents page, which you can use to view the contents of a container that requires validation.

    For more information about dock staging, see Dock Staging.

    Increased Length of Name and Description Fields

    In Name and Description fields, you can now enter up to 100 characters. Before this release, the character limit was 50. This change applies to the following locations in JustFood:

    • The Name and Description fields on master data cards, such as the Customer Card, Vendor Card, Item Card, Contact Card, and Resource Card.

    • The Name and Description fields on documents, such as sales orders, purchase orders, invoices, and quotes.

    • The Description field on journals, such as the general journal and item journal.

    • The Description field on ledger entries, such as customer, vendor, and item ledger entries.

    In addition, for a Unit of Measure (UOM), you can now enter up to 50 characters in the Description field. Before this release, the character limit was 10.

    Improved Physical Inventory Counting with the Use of Physical Inventory Orders

    Physical inventory counting is a core inventory process that occurs in all distribution companies. The physical inventory counting process may occur once a year or multiple times per year. The existing JustFood functionality for this process is based on journals, which makes it difficult to track the process, and distribute work in larger-scale physical inventory counting.

    The JustFood Spring 2019 release introduces the new Physical Inventory Order and Phys. Invt. Recording pages. These new pages increase productivity and address gaps in the existing functionality. This new feature is based on the popular German local functionality, which has been used in practically all implementations where larger-scale inventory counting is required.

    For more information, see Count Inventory Using Documents.

    Select Multiple Items to Add to a Sales or Purchase Document

    On sales or purchase documents, you can now add from the Items page, multiple items at once. To use this new feature, on any sales or purchase document, on the Lines action bar, choose Select items.

    Tip

    On the Sales & Receivables Setup page, if Default Item Quantity is turned on, when items get added to a sales document, on the sales lines, the Quantity field will automatically be populated for all selected items.

    Control when Sales Quotes Expire with a Sales Quote Validity Policy

    On the Sales & Receivables Setup page, on the General FastTab, in the Quote Validity Calculation field, you can now set a date formula, which will be used on sales quotes, to calculate the Quote Valid Until Date field.

    Tip

    To ensure that sales quotes with expired quote validity dates are deleted, from the Sales Quotes page, you can run Delete Expired Quotes. Also, on the Sales & Receivables Setup page, if you enable sales quote archiving, deleted sales quotes will also be archived. If a customer requests a quote again, you can restore the quote from the archive.

    Control Item Creation from Lookups on Documents

    On a document line, when you enter an item that does not exist, you are prompted to create an Item Card or select an existing item. In some cases, such as when importing new items, this prompt blocks the process. To resolve this issue, this release introduces the capability for you to skip the prompt. To skip the prompt, on the Inventory Setup page, on the General FastTab, turn on Skip Prompt to Create Item.

    Note

    The Skip Prompt to Create Item field only defines whether the message about the missing item is displayed. The field does not allow or disallow the activity.

    This release also introduces, on the Sales & Receivables Setup page, on the General FastTab, a new Create Item from Item No. field. To allow users that are populating a sales line, to fill in the No. field with an item that does not exist in JustFood, turn off Create Item from Item No..

    Similarly, on the Purchases & Payables Setup page, on the General FastTab, the Create Item from Item No. field has been added. To allow users that are populating a purchase line, to fill in the No. field with an item that does not exist in JustFood, turn off Create Item from Item No..

    Copy Customer Dimensions to Jobs that are Created for the Customer

    When a job is created and a customer is assigned to the job, the default dimension values from the customer are now copied to the job. This change means that users only have to modify the dimension values of the job, if required, and that reporting is consistent because the customer's existing dimensions are assigned to a job.

    Copy Configuration Templates

    Configuration templates can be used to create cards for customers, vendors, items, or contacts. When you are creating a configuration template, JustFood now provides the capability for you to copy an existing configuration template. To copy an existing configuration template, on the Config. Template Header page, on the action bar, choose New > Copy Config. Template.

    For more information, see Prepare to Migrate Customer Data.

    Merge Duplicate Customers, Vendors, or Contacts

    When a duplicate customer, vendor, or contact record is created, JustFood now provides the capability for you to merge the duplicate records into a single record. To merge duplicate records, you must have the new MERGE DUPLICATES permission set.

    For more information, see Merge Duplicate Records.

    Dynamically Set Shortcut Dimension Columns in Lists, Documents, and Journal Lines

    On lists, documents, and journal lines, the Global Dimension and Shortcut Dimension fields that are set up on the General Ledger Setup page, on the Dimensions FastTab, are now always available.

    This feature provides the capability for you to add Global Dimension and Shortcut Dimension fields directly to lists, documents, and journal lines without having to open the Dimensions page.

    For more information, see Working with Dimensions.

    Bulk Import Item Pictures

    This release introduces the capability for you to import multiple item pictures at a time. To import multiple item pictures, perform the following steps:

    1. Name your picture files with a name that corresponds to your item numbers.

    2. Send your pictures to a Compressed (zipped) folder.

    3. Load the pictures with the Import Item Pictures page.

    For more information, see Import Multiple Item Pictures.

    View Payment Information on Customer and Vendor Statistics FactBoxes

    On Customer Statistics FactBoxes and Vendor Statistics FactBoxes, information about payments is now available. On Customer Statistics FactBoxes, you can now view Payments ($) and Last Payment Receipt Date information. On Vendor Statistics FactBoxes, you can now view Payments ($) and Last Payment Date information.

    Look up SWIFT Codes

    This release introduces the capability for you to create a list of SWIFT Codes for the banks with which your company performs business. The SWIFT Codes list is now available on pages where bank accounts are used. The SWIFT Codes list helps with the accurate preparation of payments because users are now forced to pick from a predefined list of SWIFT Codes instead of entering SWIFT Codes as free-form text.

    Ensure that Approval Users are Set Up to Run Approval Workflows

    Before a user initiates an approval workflow, JustFood now performs a validation to ensure that the user is set up on the Approval User Setup page.

    Configure Reports for Warehouse Documents

    The Warehouse Report Selection functionality that was created by IndustryBuilt has been removed and replaced with the new base functionality that is available in the Microsoft Dynamics 365 Business Central Spring 2019 release.

    In this release, you can now use the Report Selection feature to configure which reports are printed for warehouse documents, such as picks, put-aways, and shipments. The enhancements to the Report Selection feature work the same as for documents in other areas.

    View Vendor Invoice Number on Purchase Invoices and Purchase Credit Memos Pages

    On the Purchase Invoices page and the Purchase Credit Memos page, the Vendor Invoice Number column is now displayed.

    View Time Information on Registers

    On various Register pages, such as G/L Registers, Item Registers, and Job Registers, you can now view time information. This enhancement improves searches for transactions in registers because you can now search by the date and the time that the transactions were created. Before this release, you could only search for transactions in registers by the date.

    Reference External Document Numbers on Posted Sales Documents

    Typically, when a customer calls to inquire about the status of their order, you search through the list of posted sales invoices and shipments by the customer's purchase order number. The purchase order number is stored on the related sales order, in the External Document Number field. In this release, this field content is now transferred to posted sales invoices and shipments, so that you can search by external document number.

    View Item Descriptions, Customer Names, and Vendor Names in Ledger Entries

    When analyzing ledger entries, it is useful to also see the item description, customer names, or vendor names. The Description and Name fields can now be added to the ledger entries, such as the Item Ledger Entries page, the Customer Ledger Entries page, or the Vendor Ledger Entries page.

    To add Description fields to the Item Ledger Entries page, on the Inventory Setup page, on the General FastTab, turn on Copy Item Descr. to Entries.

    To add the Name fields to the Customer Ledger Entries page, on the Sales & Receivables Setup page, on the General FastTab, turn on Copy Customer Name to Entries.

    To add the Name fields to the Vendor Ledger Entries page, on the Purchases & Payables Setup page, on the General FastTab, turn on Copy Vendor Name to Entries.

    Find General Ledger Account Setup Fields in Base, Local, and Custom Features

    On the Chart of Accounts and G/L Account Card pages, you can use the Where-Used List action to find out where a particular General Ledger (G/L) account is used in base setup areas. Now, the Where-Used function considers all relevant setup areas in the base version, the local versions, and in any features that are introduced through extensions. The Where-Used function uses an event to which new features can subscribe. After the new features have subscribed, the table relation on the G/L Account table to the created setup is tracked, so that a complete list of setups for a particular G/L account can be provided.

    View Document Attachments on Customer and Vendor Ledger Entries and During Payment Application

    The Document Attachments feature provides the capability for you to attach any type of file to a sales or purchase document within JustFood. This feature is useful, for example, when settling vendor payments so that you can view the original invoice that the vendor sent you. Now, on the resulting Customer Ledger Entries and Vendor Ledger Entries pages, attachments on sales and purchase documents can be viewed. You can also view attachments on the Applied Customer Entries and Applied Vendor Entries pages as you apply payments to ledger entries.

    Set Up Default Ship-to Addresses

    The Default Ship-to Address functionality that was created by IndustryBuilt has been removed and replaced with the new base functionality that is available in the Microsoft Dynamics 365 Business Central Spring 2019 release.

    The Default Ship-to Address functionality provides the capability for customers which have multiple addresses, to specify a default address to which goods must be shipped. The default ship-to address can be defined on the Customer Card page, in the Ship-to Code field. After the ship-to address is defined, the address is automatically inserted on sales documents for the customer.

    If required, you can still change the ship-to address on sales documents.

    Schedule Background Jobs with a Date Formula

    When scheduling background jobs or reports to run, you can now define a date formula. The date formula provides the capability for you to specify a relative date, instead of having to define a fixed day. For example, instead of running a report every Monday, you can now set up the report to run at the beginning of each month by entering the formula CM+D1. You define the formula on the Job Queue Entry Card page or the Schedule a Report page, in the Next Run Date Formula field.

    For more information, see Use Job Queues to Schedule Tasks.

    Check for Total Amount Credited when Creating a Corrective Credit Memo for a Posted Sales Invoice

    When correcting posted sales invoices, you are now notified whether a corrective credit memo exists for a posted sales invoice, and whether the credit memo has been fully or partially applied. From the notification, you can view which documents have been applied to the posted sales invoice, and you can also choose which documents and amounts to apply to the posted sales invoice. This new feature also helps to avoid duplication.

    Change Descriptions on General Ledger Entries

    If an incorrect description was entered during posting, or if a change to a description on an earlier General Ledger (G/L) entry is required, on the General Ledger Entries page, you can now edit the Description field and overwrite the original posting description.

    On the Change Log Entries page, you can view a log of the changes that have been made to the Description field.

    Add ISO Codes as Attributes for Countries and Currencies

    Typically, regulatory reporting, electronic invoicing, and electronic banking standards require ISO Country and Currency Codes as well as descriptions to comply with regulations or standards.

    For countries and regions, on the Countries/Regions page, you can now add the following codes:

    • In the ISO Numeric Code column, ISO 3166-1 Numeric (three-digit) Codes.

    • In the ISO Code column, Alpha (two-letter) Codes.

    For currencies, on Currency Card pages, you can now add the following codes:

    • In the ISO Numeric Code field, ISO 4217 Numeric (three-digit) Codes.

    • In the ISO Code field, Alpha (three-letter) Codes.

    Review and Export Errors in RapidStart Configuration Packages

    While migrating your data to JustFood with RapidStart Services, you can view the errors that occurred for a specific table within the configuration package. This design works well when you are importing a small number of tables. However, when you are importing a large number of tables, the amount of errors may become cumbersome. You may have to distribute data-cleaning tasks to different teams.

    When importing and validating your configuration packages, you can now view the errors per package. To view all errors in a configuration package, on the Config. Package Card page, on the action bar, choose Package > Show Errors. On the Config. Package Errors page, you can filter by Error Text, Field Caption, Table ID, and so on, as well as export filtered lists to Excel. Also, to see the exact data that is causing an error, you can drill down to a specific error.

    Review Configuration Package Data that is Imported from Excel

    To import data from Excel into a configuration package, the following methods can be used:

    • On the Configuration Packages page, on the action bar, choose Package > Import from Excel.

    • On the Config. Package Card page, on the action bar, choose Package > Import from Excel.

    • On the Config. Package Card page, on the Tables section action bar, choose Excel > Import from Excel.

    Depending on the method that is used, different levels of preparation are required. The first method can be used before a configuration package is created. The second method requires that a configuration package exists, and the third method requires that a configuration package with lines exists.

    To improve this process and avoid unnecessary retries when you perform these methods, you can now use the Config. Package Import Preview page. The Config. Package Import Preview page provides an overview of the Excel file contents that are about to be imported. Now, when you perform any of the three methods to import data and you choose the Import from Excel action, the Config. Package Import Preview page opens.

    The Config. Package Import Preview page displays on different worksheets, the list of configuration packages and tables that are in the Excel file that you are about to import. The Config. Package Import Preview page also displays the following information:

    • Whether the Import from Excel action will create a configuration package or update the existing one.

    • Whether the Import from Excel action will create configuration package lines (tables) or update existing ones.

    For more information, see Migrate Customer Data.

    Preview Prepayment Posting

    On sales or purchase orders, you can now preview the different types of entries that will be created when you post a prepayment invoice or credit memo. To preview entries, from the Sales Order page or the Purchase Order page, on the action bar, choose Actions > Posting > Prepayment, and then choose Preview Prepmt. Invoice Posting or Preview Prepmt. Cr. Memo Posting.

    Email and Resend Remittance Advice from the Payment Journal and Vendor Ledger Entries

    In the UK, US, CA, AU, NZ, and ZA versions, where remittance advice is used to notify vendors of payments that are being made, you can now email remittance advice in bulk from the payment journal. Also, you can now resend remittance advice after payments are made from vendor ledger entries by using document sending profiles.

    Display all General Ledger Accounts on Posting Setup Pages and in General Ledger Account Lookups

    Posting setup pages, such as Customer Posting Groups, and General Posting Setup are used to define which General Ledger (G/L) accounts will be used to post amounts to the G/L. As you turn on features, such as Discount Posting, additional columns for specific G/L accounts that are used by the feature, automatically become visible on the posting setup pages.

    On posting setup pages, you can now turn on Show All Accounts. When Show All Accounts is turned on, you can view all available G/L accounts on the setup page even when the involved feature is not enabled. Being able to view all available G/L accounts, makes it easier to perform the initial posting setup.

    When you perform a lookup to select a G/L account to be used in a posting setup, typically, the only G/L accounts that are displayed, are the accounts that have been filtered by the associated account categories. On posting setup pages, you can now select the View All Accounts on Lookup check box. When the View All Accounts on Lookup check box is selected and you perform a lookup, you can view all available G/L accounts, not just the accounts that are filtered by the associated account categories.

    Role Center Improvements

    The following improvements have been made to specific Role Centers:

    • Headlines and other common elements have been added where these elements were missing.

    • The Setup & Extensions group is more consistent, for example, the group now includes Workflows.

    • The Self-Service group has been standardized to display only as cues and tiles so that users can view counts.

    Focus Mode on Document Pages

    On document pages, there is a new Focus Mode feature that provides the capability for you to expand the viewing area of the line items section.

    For more information, see Focus mode on document pages.

    Work Date Indicator

    If you use a work date that is different from today's date, a new work date indicator is displayed.

    Quick Entry

    This release introduces a Quick Entry feature. The Quick Entry feature provides the capability for you to define a path for editable fields on a page. After you define the path for editable fields, after filling in a field, when you press the Enter key, the cursor moves to the next field that is defined in the path.

    For example, on a sales order, the address fields may be automatically populated. When you are entering details on the sales order, because the address fields are automatically populated, you may want the cursor to skip over the address fields. The Quick Entry feature provides the capability for you to exclude the page cursor from moving to the address fields.

    For more information about Quick Entry, see Entering Data.

    New Keyboard Shortcuts

    This release introduces new keyboard shortcuts. The following list includes some examples:

    • Toggle between slim and wide page mode (Ctrl+F12)

    • Toggle between show and hide FactBox (Alt+F2)

    • Add item (Alt+N)

    • Toggle between previous and next navigation (Ctrl+Left Arrow and Ctrl+Right Arrow)

    Also, from the help menu, you can now view a list of all keyboard shortcuts. To view a list of all keyboard shortcuts, choose Help Menu, and then choose Keyboard Shortcuts.

    Autosave Indicator

    The JustFood interface now includes an autosave indicator. This new element indicates the state of data that is displayed on the page. The indicator has the following statuses:

    • Saving: This status appears when the host is communicating with the server.

    • Saved: This status appears when the host has successfully communicated with the server and has saved the data.

    • Not Saved: This status appears when a data validation error occurs and the data has not been saved.

    Improvements to Scrolling in Lists

    Improvements have been made to reduce the time it takes for lists to be displayed. When scrolling at a pace where rows can be comfortably read, the scrolling experience is now seamless. To ensure that large lists do not degrade the user experience, rows continue to be loaded on demand.

    Also, when selecting multiple rows, there are significantly less delays.

    Improved Contextual Search Experience

    The Tell Me feature has been improved so that you can now search for more flexible terms, for example, a user may search for the word product, instead of the word item.

    Also, the search results now include results for partner solutions on AppSource.

    Personalization Enhancements

    You can now make the following adjustments to the layout of actions that appear on list, worksheet, card, and document pages:

    • Hide actions that are not relevant to you.

    • Move actions to a new menu group as well as hide or re-order groups.

    • Specify whether fields on card and document pages are displayed when a FastTab is collapsed.

    • Specify whether fields on card and document pages are only displayed when you choose Show more.

    For more information, see Personalization Enhancements.

    Simplified Help and Support Experience

    When you choose Help Menu, you can now select Help & Support. The new unified help and support experience provides the capability for you to find help, give feedback, and access troubleshooting information.

    Page Inspection

    This release introduces a Page Inspection feature. This feature existed in earlier versions of JustFood, and was referred to as the About this Page feature.

    The Page Inspection feature is an interactive feature that displays information alongside your page, without interrupting how you interact with the page.

    Depending on the page from which you launch the Page Inspection feature, the following information is displayed:

    • The page or page part name and identifier.

    • The underlying table name and identifier.

    • The entire set of table fields for the selected record, including caption, value, field identifier, primary key indicator, and extension information.

    • Which extensions extend the page or the underlying table.

    • Which filters are applied to the table.

    For more information about the Page Inspection feature, see Inspecting Pages in Business Central.

    Fixed Problems

    The JustFood Spring 2019 release includes fixes for the following problems.

    ID Description
    27043 JustFood: When trying to register a pick for a break bulk item, and the pick has multiple pick lines that have the same bin and different lot numbers, an error is received and you are prevented from registering the pick.
    27039 Floor: When posting a negative adjustment to physical inventory, a Production Date must be specified error is displayed, and the adjustment cannot be posted. Floor must be updated to make the Production Date field optional because inventory can be added without a production date.
    25981 JustFood: On the Floor Menus page, the Intialize Menu action is spelled incorrectly.
    25971 JustFood: On the Floor Menus page, in the Menu Code field, when a new value is selected, the page does not refresh automatically. The page behavior must be updated so that in the Menu Code field, when a new value is selected, the page automatically refreshes and displays the menu records that are associated with the selected Menu Code.
    24110 JustFood: For direct transfers and released transfer orders, when you perform a Planned Logistics Run, the Source Doc. Status field is incorrectly displaying the status of Open. The Source Doc. Status field must be corrected to display the correct value of Released.
    24107 JustFood: On the Purchase Order page, on the action bar, when you choose Navigate > Warehouse > Rebates, the Rebates action is missing an icon. An icon must be added.
    24100 Floor: When posting output from a family production for a non-tracked item, an unnecessary Lot No. field appears on the form. For a non-tracked item, the Lot No. field must be removed from the form.
    23854 JustFood: On printed posted warehouse receipts, the header is truncated.

    See Also

    Release Notes

    Working with JustFood

    In This Article
    • Microsoft Dynamics 365 Business Central Spring 2019 Platform
    • Upgrade Toolkit
    • Dock Staging
    • Increased Length of Name and Description Fields
    • Improved Physical Inventory Counting with the Use of Physical Inventory Orders
    • Select Multiple Items to Add to a Sales or Purchase Document
    • Control when Sales Quotes Expire with a Sales Quote Validity Policy
    • Control Item Creation from Lookups on Documents
    • Copy Customer Dimensions to Jobs that are Created for the Customer
    • Copy Configuration Templates
    • Merge Duplicate Customers, Vendors, or Contacts
    • Dynamically Set Shortcut Dimension Columns in Lists, Documents, and Journal Lines
    • Bulk Import Item Pictures
    • View Payment Information on Customer and Vendor Statistics FactBoxes
    • Look up SWIFT Codes
    • Ensure that Approval Users are Set Up to Run Approval Workflows
    • Configure Reports for Warehouse Documents
    • View Vendor Invoice Number on Purchase Invoices and Purchase Credit Memos Pages
    • View Time Information on Registers
    • Reference External Document Numbers on Posted Sales Documents
    • View Item Descriptions, Customer Names, and Vendor Names in Ledger Entries
    • Find General Ledger Account Setup Fields in Base, Local, and Custom Features
    • View Document Attachments on Customer and Vendor Ledger Entries and During Payment Application
    • Set Up Default Ship-to Addresses
    • Schedule Background Jobs with a Date Formula
    • Check for Total Amount Credited when Creating a Corrective Credit Memo for a Posted Sales Invoice
    • Change Descriptions on General Ledger Entries
    • Add ISO Codes as Attributes for Countries and Currencies
    • Review and Export Errors in RapidStart Configuration Packages
    • Review Configuration Package Data that is Imported from Excel
    • Preview Prepayment Posting
    • Email and Resend Remittance Advice from the Payment Journal and Vendor Ledger Entries
    • Display all General Ledger Accounts on Posting Setup Pages and in General Ledger Account Lookups
    • Role Center Improvements
    • Focus Mode on Document Pages
    • Work Date Indicator
    • Quick Entry
    • New Keyboard Shortcuts
    • Autosave Indicator
    • Improvements to Scrolling in Lists
    • Improved Contextual Search Experience
    • Personalization Enhancements
    • Simplified Help and Support Experience
    • Page Inspection
    • Fixed Problems
    • See Also
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    JustFood Spring 2019 Service Pack 1