How to Revalue an Output Journal Entry in Microsoft Dynamics NAV

There are times that you need to revalue an Output Journal entry due to an error in processing. If the Output Journal entry is left with the incorrect cost, Inventory and COGS entries for future (or already processed) sales shipments will be stated incorrectly if the processing error is not corrected. Follow the steps below… Continue reading How to Revalue an Output Journal Entry in Microsoft Dynamics NAV

NAV 2013 R2: How to Back up a Live Database and Refresh a Test Database

If you have a test database, at some point in time you will be asked to refresh this with the current live data, especially when testing. I am often asked how to copy the live database into the test database so accurate testing of a development request can be done. In this blog, you will… Continue reading NAV 2013 R2: How to Back up a Live Database and Refresh a Test Database

ArcherPoint Dynamics NAV Developer Digest – vol 68

As they run into issues and questions, find the answers, and make new discoveries, they post them companywide on Yammer for everyone’s benefit. We in Marketing watch these interactions and never cease to be amazed by the creativity, dedication, and brainpower we’re so fortunate to have in this group—so we thought, wouldn’t it be great… Continue reading ArcherPoint Dynamics NAV Developer Digest – vol 68

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Microsoft Dynamics NAV 2009 Classic Client – How to Set Up the Job Queue

I’m often asked to schedule processes in Microsoft Dynamics NAV. This blog explains how to do so in the Classic Client. From MSDN: Job Queues in Dynamics NAV enable you to specify, request, and control when certain processes are run, such as the processing of a report or executing a codeunit. You enter your requests… Continue reading Microsoft Dynamics NAV 2009 Classic Client – How to Set Up the Job Queue