This introductory document will give the user a brief description of the courses available as well as a brief description of each course. Once you are directed to the course description, the user can follow the link to the Cloud Learning course by clicking on the course name. Selecting the ‘CTRL’ key and the ‘+’ sign simultaneously will bring the user into that course. You may be prompted to log in to Cloud Learning. Select the appropriate login method to continue. If you are unsure of how to log in, this link to the solution article will guide you through. How to log in to Cloud Learning.
Cloud Learning Introduction
CL-01 - How to log in to Cloud Learning
- Before participants can begin to explore the class offerings, they need to identify how to log in using the correct method to use, and whether a password reset is needed. If you are a new user or need a refresher, and these are your questions, you are in the right place.
Orientation
FIN-001 - Introduction to Finance 1
Welcome to the first module for Finance, Orientation, and Navigation. The participants will come away with an understanding of navigating the home page, understanding the sign-in process, and that what can be seen or accessed depends on the user's security.
FIN-002 - Introduction to Finance 2
- This session will build upon what was explored in Introduction to Finance 1. Some additional features will be introduced such as autocomplete and search.
Requisition
FIN-003 - Shopping Cart
This session will explore some of the features within the ‘Shopping Cart’ such as ‘Ordering catalogued’ items and ‘Checking out.’
FIN-004 - Requisitioning
- In this session, will look at all areas of requisition including the delegates, management, and review.
Purchasing
FIN-005 - Buyer's In-Basket
- In this session, we are going to explore how to create purchase orders from the requisitions.
FIN-006 - Creating Purchase Orders
- In this session, we are going to explore the two methods of creating Purchase Orders:
- Through the Buyer’s In-Basket
- Through PO Management
FIN-007 - Purchasing
- This session will continue to explore the PO Management system. It will look at:
- PO Global Close
- Reports
- PO Voucher Review
Invoicing
FIN-008 - Invoicing
- In this session, we are going to explore the two modules of the A/P Invoice: Invoice Management and Invoice Report.
Accounts Payable
FIN-009 - Accounts Payable
- This session will provide the user with information on how to pay invoices using the Accounts Payable Module.
Cheques
FIN-010 - Cheques
- In this session, we will explore the different areas within the Cheques Module:
- Cheque Cancellation
- Cheque Inquiry/Report
- Cheque Return
- Electronic Reconciliation
Vendor
FIN-011 - Vendor Add-Change
- In this session, we will explore how to create and maintain vendors in the Vendor Management module.
Stocks
FIN-012 - Stock Management, Reports
In this session, we are going to explore the functionality of the Stock Module including:
Stock Management
Stock Report
Stock Product Catalogue
Purchase History
Reassign Group Codes.
FIN-013 - Stock Add-Change
- In this session, we are going to explore how to add and modify stock.
Batches
FIN-014 - Batches
- In this session, we are going to explore the Batch module, which breaks down information into smaller, manageable chunks and what they are used for.
Budget
FIN-015 - Budget Management
This session will be the first look at the four menu options in the Budget Module:
- Budget Management
- Budget Transfer
- Budget Voucher
- Budget Voucher Approval
FIN-016 - Budget Transfer and Voucher
- In this session, we are going to explore the last three menu options in the Budget Module:
- Budget Transfer
- Budget Voucher
- Budget Voucher Approval
General Ledger
FIN-017 - Dictionaries
- In this session, the user will look at the General Ledger Dictionaries.
FIN-018 - Management
- In this session, we are going to explore how to create and maintain General Ledger accounts.
FIN-019 - Maintenance
- In this session, we are going to explore the composition of the General Ledger Maintenance Module.
FIN-020 - Report and Queries
- In this session, we are going to explore the reports and queries in the General Ledger.
FIN-021 - Month-End - Year-End
- This session will focus on the user exploring the month-end and year-end procedures.
Queries
FIN-022 - Budget Query
- In this session, users will explore the features and process of using the Budget Query.
FIN-023 - Drill Down Query
- This is the second part of the Query module. Users will continue to explore the features of creating queries.
Journal Entry
FIN-024 - Key Concepts
- In this session, users will begin to explore the basic concepts of the Journal Entry module.
FIN-025 - Advanced Concepts
- In this session, users will focus on the more advanced concepts of the Journal Entry module.
Accounts Receivable
FIN-026 - Intro and Report
- This session will be an overview of the Accounts Receivable Module as well as looking at the various reports within.
FIN-027 - Account Management
- This session will explore the areas within the Account Management module.
FIN-028 - Invoice Management
- This session will explore the areas within the Invoice Management module.
FIN-029 - Cash Receipts Management
- This session will explore the areas within the Cash Receipts Management module.
FIN-030 - Cash Close
- This session will explore the areas within the Cash Close Management module.
Code Management
FIN-031 - Commodities and GL Defaulting
- This session will focus on two options within Code Management:
- Defining stock groups
- Default G/Ls
FIN-032 - Location Management
- This session will focus on Location Code Management.
DB Export
FIN-033 - DB Export Setup
- This session will focus on how to define export settings in the settings menu.
FIN-034 - DB Export Processing
- This session will focus on common features for all exports, individual export features and exploring the characteristics unique to each data type.
Security
FIN-035 - Assigning Privileges and Restrictions
- This session will explore the five menu options available for the Security Module and how each of these areas has a role when assigning user privileges and restrictions.
FIN-036 - GL Security
- This session will focus on how to assign security privileges and restrictions in the GL Security module.
FIN-037 - Working with roles, groups, and users
- Within the Security Module, users will explore how to manage roles, groups, and users.
Settings
FIN-038 - Settings Intro
- In this session users will investigate the Settings feature as each configuration is unique to each organization.
FIN-039 - Single email-fax
- This session will investigate the settings related to email, fax integration, and the general system settings.
FIN-040 - Accounting
- This session will investigate the eight accounting settings:
- Accounting
- G/L Account
- Alias Format
- Bank Codes
- Currency Subscriptions
- ForEx Rates
- Invoice Type
- Bank Tape Specification
FIN-041 - Accounts Receivable
- This session will take the user to the Accounts Receivable settings options to determine the right settings for their organization.
FIN-042-1 - Purchasing Settings
- This session will explore purchase settings and how it relates to purchase orders.
FIN-043-1 - Requisitioning Settings
- This session will focus on looking at the four Purchasing settings that are related to requisitions:
- Requisition Master
- Requisition Number
- Requisition Approval Levels
- Requisition Auto-Approval
FIN-044 - Tax
- This session will look at the configuration settings for setting up the tax.
DB Import
FIN-045 - Import Setup
- This session will look at the Import tables and how to define them. There are fifteen different tables that can be configured.
FIN-046 - Import Processing
- This session will focus on the Import processes.