Before you can send and receive electronic documents or import and export bank files, you must set up the Data Exchange Framework to process the involved files. In addition, you must set up related areas, such as master data for customers that you send electronic invoices to or the bank data conversion service in case you use the external service provider to convert your bank files. For more information, see Data Exchange.
When Microsoft Dynamics NAV is set up to exchange data with external files, users can use the setup in common business tasks, such as sending and receiving electronic documents and importing and exporting bank files. For more information, see Exchange Data.
The following table describes a sequence of tasks, with links to the topics that describe them.
To | See |
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Set up the preconfigured document exchange service to enable sending and receiving electronic documents from and to Microsoft Dynamics NAV. | |
Set up the preconfigured OCR service to turn PDF or image files into electronic documents that can be converted to document records in Microsoft Dynamics NAV. | |
Set up one of two preconfigured services for updated exchange rates to get the latest currency exchange rates into the Currencies window. | |
Set up various master data, such as company information, customers, vendors, items, and units of measure, related to mapping data in Microsoft Dynamics NAV to and from elements in a standardized electronic document file. | |
Set up a bank account, a vendor, and a payment journal for SEPA credit transfer. | |
Prepare bank account formats, payment methods, and customer agreements for SEPA direct debit. | |
Set up user authentication and the URL of the bank data conversion service provider that is required to have bank files converted to your bank’s format. | |
Set up and enable an external service that enables you to import bank statements directly as bank feeds. | |
After the Bank Statement service is enabled, link bank accounts in Microsoft Dynamics NAV to one or more online bank accounts by accessing the service provider’s Account Linking page. | |
Prepare to set up a new data exchange definition for a data file or stream by using the file’s XML schema to prefill the Column Definitions FastTab in the Data Exchange Definition window. | How to: Use XML Schemas to Prepare Data Exchange Definitions |
Set up the Data Exchange Framework to enable users to receive a new purchase document format, send a new sales document format, import a new bank file, or other data exchange. |