When creating a Sales order in Dynamics AX 2012, you can define both a “Customer account” and an “Invoice account”. The Customer account identifies the customer for which the Sales order is being created, and the Invoice account references the account number of the customer to invoice, in case it is different.
One of the main features introduced in AX for Retail R3 was the unified pricing engine in the Commerce Runtime (CRT). The exact same code is compiled and deployed to Enterprise POS, Mobile POS / Retail Server, Online Store, and the new Call Center.
The Dynamics ERP Translation Solution is designed to improve the Microsoft Dynamics channel partners experience when translating Microsoft Dynamics ERP software into existing or additional languages. The ERP Translation Solution can also be used to translate custom features developed by the Dynamics channel partners. You can read more information on the solution here.
With last month’s update, we put out a preview capability for submitting regulatory alerts – i.e. changes in country legislation that impacts Microsoft supported localized country solution (link) – in Cloud Powered Support (CPS).
(Please visit the site to view this video) Bounce Foods produces Bounce energy balls, a healthy choice for people snacking on the go. Recently, Bounce Foods upgraded to Microsoft Dynamics NAV 2015.
Using the Cloud-hosted environment tool in Lifecycle Services, you can deploy a High Availability environment. When you deploy a High Availability environment, two BI servers are deployed by default. Each BI server has SQL Server Reporting Services (SSRS) and SQL Server Analysis Services (SSAS) configured as a unique local instance.
This article describes the setup that is needed to get serial numbers auto generated prior to the report as finished on a production order. There are three setup options on the serial number group that allow this to happen. Those options are ‘Only for inventory transactions’, ‘Production activation’, and the ‘On physical update’ option.
Tested on AX 2012 R3 and TFS 2013 The code merging window is not popping up as expected in TFS 2013. This is probably caused by the changes made to the merge tool of TFS 2013 according to this article : http://blogs.msdn.com/b/bharry/archive/2011/08/31/merge-enhancements-in-tfs-11.
If you go to Project management and accounting > Setup > Project Management and accounting workflow and you select any workflow and hit Edit and you get an error stating “Error executing code: FormRun (data source) has no valid runnable code in method ‘new‘ Try to to locate the form that is failing to launch in