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This article will focus on the Top Management Reporting Software for Credit Unions.
 
topmanagementreportingsoftwareforcreditunionDifferent Types of Reporting –   At first, this article was going to be about the top Reporting software for Credit Unions.  I then realized that there are many different types of reporting needs for Credit Unions that tools will need to focus upon.
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New Sessions. More Networking. More Ways to Learn. August 21-24, 2017 | Hilton La Jolla Torrey Pines, San Diego, CA.
It’s coming. And it’s expected to be the best one yet. I’m talking about the fifth annual BI360 Focus conference for partners and users, hosted by Solver. This year’s event will be held August 21-24 at the Hilton La Jolla Torrey Pines, San Diego, CA. It’s collaborative. It’s community-building. What’s more, this is a valuable experience that helps users better utilize BI360 features and functions, as well as provides Partners with tips and insights that will grow their BI360 practice.
For those that have been to a Focus conference in the past, make sure you check it out again. Solver has new information to share, especially with the new BI360 Cloud and software updates. Attendees will also find opportunities to work with BI360 experts to troubleshoot existing issues, as well as, gain ways to optimize existing task performances or learn more about the myriad functions available with BI360. And once again, attendees will be able to earn CPE credits for attending the training workshops as well as the concurrent and general sessions.
What’s Different in 2017 and Why You Should Attend
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This article lays out your options for modern financial consolidations solutions to take Microsoft Dynamics NAV processes to the next level for retail organizations.

There are plenty of Microsoft Dynamics NAV retail users who are managing a parent company’s financial portfolio with one or more subsidiaries.  Combining transactional and operational information from a number of entities, at times with multiple currencies, can be a challenge without a modern financial consolidations tool.  As the size and significance of data continues to grow, organizational decision-makers nearly require a software that can assist in consolidating data into a unified set of financial statements.  If you’re relying on Dynamics NAV for your retail business, this article will aim to lay out your options for a business user friendly, powerful consolidations solution.
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This article will discuss your options for the best financial consolidations solution to expand your Microsoft Dynamics AX experience as a retail company.

There is a population of retail Microsoft Dynamics AX users who are overseeing the financials for a parent organization’s multiple subsidiaries.  Aggregating operational and transactional data from multiple entities, sometimes with more than one currency, can be challenging without one of today’s financial consolidations solutions.  As the amount and importance of data steadily grows, corporate decision-makers can’t avoid needing a solution that can help consolidate information into a singular set of financial reports.  If you are using Dynamics AX as a retail company, this article will hopefully help you familiarize yourself with options for an easy-to-use, dynamic consolidation software.
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This article will cover the financial consolidation process, specifically features and functionalities of modern tools for Professional Services organizations using Acumatica.

There’s a population of Professional Services organizations who are using Acumatica to manage a parent company financial portfolio for a number of subsidiaries.  Aggregation of multiple entities’ financial data, at times with different currencies, can be challenging without modern consolidation software.  Since data continues to become bigger in size and meaning for decision-making, more executives are looking for the right solution to empower business end users to consolidate information in a unified set of financial statements.  This article will discuss your options for easy-to-use, powerful financial consolidations with Acumatica, specifically for Professional Services organizations who need a modern software solution.
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In this article, modern financial consolidation solutions will take center stage, particularly for multi-location Non-profit organizations using Intacct to manage parent company finances.

There is a population of non-profit Intacct customers who are overseeing the financials of their organization with multiple locations or entities.  Consolidating organizational information from more than one location, sometimes with diverse currencies, can be tedious without a premier financial consolidation solution.  Data continues to grow in size and significance in terms of decision-making.  More executives than ever are shopping for the right tool to allow their business end users to aggregate data into a set of financial statements or for summarized operational reports.  This article will zoom in on features and functionalities for the non-profit Intacct user who performs consolidations for monthly financials or annual budgets for the parent organization.
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This article will take a deep look at today’s best financial consolidation tools for Microsoft Dynamics SL users, focusing specifically on must-have features and functionalities.

Plenty of Microsoft Dynamics SL customers are overseeing financial consolidations for a parent company of multiple subsidiaries.  Aggregating company information from more than one legal business unit, particularly if there are diverse monies involved, can be difficult without a robust financial reporting and consolidations solution.  Data continues to grow in amount and significance to decision-making for the future of the business, so it makes sense that executive teams are seeking an easy-to-use software for the regular responsibility of data consolidation into a unified set of financial statements.  If it’s your responsibility to consolidate subsidiary information with Dynamics SL, this article will explore your options for easy-to-use, modern, and powerful solutions.
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In this article, top financial consolidation tools will be in the spotlight, zooming in on features and functionalities that can help Acumatica users manage parent company financials.

There are plenty of Acumatica users who are responsible for management of a parent company’s financial portfolio for multiple subsidiaries.  Combining more than one entity’s financial information, sometimes with diverse currencies, can be tedious without a modern financial consolidation solution.  Because data continues to grow in size and significance for decision-making, more and more executive teams are shopping for the right software that enables business end users to aggregate data into a singular set of financial statements.  In this article, I’ll focus on your solution options for Acumatica customers who are charged with financial consolidations, with a look at the options you have for a dynamic, business user friendly, and powerful solution.
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In this article, modern financial consolidation solutions for Microsoft Dynamics AX customers will take center stage, with an in-depth look at primary features and functionalities.

There is a population of Microsoft Dynamics AX users out there who are responsible for parent company financials consolidations of multiple subsidiaries.  Bringing together organizational data from a number of legal business units, especially if there are different currencies involved, can be challenging without a powerful financial reporting writing and consolidations tool.  As data grows in size and importance to decision-making for roadmap planning, executives are looking for a business user friendly solution for the routine task of consolidating information into a singular set of financial reports.  If you are responsible for aggregating subsidiary data with Dynamics AX, this article will discuss the options you have that will bring together ease of use, modernity, and power.
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Automating Business Intelligence (BI) processes, such as reporting and budgeting, increases the value of your investment in a modern tool.  This article discusses today’s automation options for SAP Business One.

Reporting and budgeting are popular article topics for SAP Business One users, whether it is in print, on social media, or blogs.  On this blog, I have covered reporting and budgeting, zooming in on options for SAP B1.  At this point, you probably think that writers of these articles assume that all you do in your role is build financial reports and manage budgets – and spend the rest of the time reading about these processes.  If you feel this way, I get that.
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