Monthly Archives: September 2011

Inventory Value to General Ledger Reconcilation in Dynamics NAV

I recently signed up to be a guest columnist on the Microsoft Dynamics NAV community site. I wrote an article with the list of common steps to finding and reconciling the difference between your inventory valuation and the inventory G/L account. The article is posted in the Dynamics NAV Community site hosted by Microsoft.

The article is found here:
https://community.dynamics.com/product/nav/navnontechnical/b/navguestcolumn/archive/2011/09/12/reconciling-inventory-value-to-your-inventory-general-ledger-account.aspx

Again, the focus is to save you time so you can go home on time.