How Do I: Reconcile Bank Payments in the Reconciliation Journal in Microsoft Dynamics NAV 2015

How Do I: Reconcile Bank Payments in the Reconciliation Journal in Microsoft Dynamics NAV 2015

How Do I: Reconcile Bank Payments in the Reconciliation Journal in Microsoft Dynamics NAV 2015

This video demonstrates how to reconcile incoming and outgoing bank payments in a payment reconciliation journal in Microsoft Dynamics NAV 2015. For more information, please visit our Getting Ready page here https://mbs.microsoft.com/partnersource/northamerica/readiness-training/readiness-training-news/GetReadyforMicrosoftDynamicsNAV

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5 Tips for Employee Engagement in the Contact Center

Contact center agents are on the front lines of customer service, serving as brand experts and customers’ trusted human connection to a company all at once. Given the demanding rhythm of contact centers, agents run the risk of feeling overwhelmed or burned out. Customer service aside, many companies across various industries are nowadays embracing an employee engagement approach, finding ways...
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