Price embedded barcode in AX2012

In this blog we will be discussing how we can configure Price embedded barcode; for this please perform following steps in AX Retail Module: First configure bar code mask characters in retail (for example: product and price) (retail > setup > mask character)  2. Then create a new bar code masks setup selecting Product in type with […]

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#TipADay: Updating Price in AX 2012

Now we will discuss a small but yet an important concept of AX 2012 that is ‘updating price with maintaining history of all prices’ . The purpose of using trade agreement over base price is to record and update pricing items including both product and product masters, for transactions. For this create a new trade […]

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FIXED ASSETS DISPOSAL IN MICROSOFT DYNAMICS AX 2012

Introduction Fixed Assets during their entire life undergo four phases, of Acquisition, Depreciation, Value Adjustment and Disposal; we can call it Fixed Asset Life Cycle. Microsoft Dynamics offer several ways to “Acquire”, “Depreciate”, “Adjust” and “Dispose” the assets. The Acquisition can be rotated through Fixed Asset Journal, Vendor Invoice, Inventory to Fixed Asset Journal, and […]

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Managing Royalties with Microsoft Dynamics AX 2012 R3

Microsoft Dynamics AX 2012 R3, provides functionality to manage royalty agreements and claim amounts, book their accruals and manage payments. In today’s post I will try to explain the procedure of Royalty Management. What is a Royalty? Royalties can be defined as paying certain amount to the owner of a property or a brand for […]

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Reason Code Functionality on POS -Ax 2012

In today’s post, I would like to share Reason Code functionality on POS. We often conduct transactions that need a reason or comment. Microsoft Dynamics AX has come up with reason codes in which we can define reason behind of the transactions. I would like to share how we can use this functionality over AX […]

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Catch Weight Functionality for Receiving of Goods in Microsoft Dynamics AX 2012

Many industries receive raw material in a different packaging unit, while payment may be made in a different unit. This post will help you understand how to receive product in different packaging using Catch Weight. Let’s take an example of cotton in Textile Industry, Cotton is received in unit “Bales” and normally companies need to […]

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#AccountingEntries – Post Dated Checks in Microsoft Dynamics AX 2012

Post-dated checks are a widely and commonly used business practice. Post dated checks are checks which are delivered now with a date in the future, so that it cannot be cashed until that date. Microsoft Dynamics AX 2012 introduced the PDC functionality in both AR and AP modules which is fully integrated with check printing, banking and […]

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Mix and Match Discounts in Dynamics AX 2012

Retail generally has a large amount of discount scenarios of each of which must be catered to through Dynamics AX 2012. One of our customers was looking to apply some discounts that needed to be mapped in the system as well. I have mentioned a scenario that I faced and the solutions I came up […]

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Exploring Drill through Reports in Dynamics Ax 2012 R3.

Creating basic drill through reports in Dynamics Ax 2012 R3 is really simple. Consider following scenario where we have to show the list of customer and their sales Orders in particular legal Entity.  In this report when User clicks on customer account, a new report opens, which contains list of all possible sales Orders. For […]

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