You can use Profitability to track income and expense information for bank transactions involving equipment records.
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Select Transactions > Financial > Bank Transactions.
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Complete the Bank Transaction Entry window as usual. See Microsoft Dynamics GP documentation for more information.
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Select the account analysis button to open the Bank Transaction Profitability Entry window.
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Enter an Equipment ID.
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The Amount and Equipment Description display.
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You can enter a Posting Description.
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Select OK to return to the Bank Transaction Entry window.