How-To Guides12 min read
Dynamics 365 Finance Payout Integration: Journals and Reconciliation
A payment platform integrating with Dynamics 365 Finance needs a defined accounting handoff: which legal entity owes the money, what external event justifies a posting, which vendor or ledger record receives it, and how finance reconciles the result. Start with one entity, currency and payment flow, then connect the agreed records through a supported Finance integration surface.
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