Russia overview
This article provides information about functionality that supports Russian regulations.
General ledger
- Correspondence of accounts
- Preview ledger transactions
- Set up exchange rates for currency transactions
- Import currency exchange rates
- Ledger translation
- Turnover balance statement reports
- Account activity reports
- White paper: Dynamics 365 Finance and Dynamics 365 Supply Chain Management-Federal Accounting Standard 27-2021 in Russia
- Enable Electronic reporting destinations to store Russian accounting documents
Advance holders
- Russia advance holders overview
- Create an advance holder
- Daily operations for advance holders
- Advance reports with budget control
- Revaluate foreign currency for advance holders
- Advance holder reports
Cash and Bank
- Set up bank accounts
- Set up and process payment orders
- Exchange adjustment
- Foreign currency sales, purchases, and transfers
- Petty cash
- Cash - Local primary forms and unified reports
- Client-Bank interface and reconciliation procedure
VAT
- Local specific posting of sales VAT
- Invoice factures processing and printing
- Revision factures and corrective factures
- Value-added tax (VAT) for tax agents
- VAT declaration
- Sales books, purchase books, and invoice-factures journals
- Prepayments management
- Incoming VAT restoring
- Process invoice factures for export trade
Fixed assets (Russia)
Set up Fixed assets
- Set up fixed assets
- Set up depreciation
- Depreciation methods
- Depreciation bonuses
- Set up fixed asset locations and numbering
Working with fixed assets
- Create fixed assets (Russia)
- Register fixed assets acquisitions
- Acquiring fixed assets and putting them into operation
- Calculate depreciation
- Partial fixed asset disassembly (liquidation)
- Sell, dispose, and write-off assets
- Create fixed asset lease and return from lease
- Maintain fixed assets
- Fixed asset counting
- Fixed asset currency revaluation
- Revaluate fixed asset cost and depreciation
- Create and post budget journals for fixed asset acquisitions
- Transfer fixed assets
Not valuable fixed assets, and working clothes
Printing forms
Accounts payable and receivable
- Credit note corrections
- Invoices for payment
- Set up dimension control for settlements
- Register goods shipped to customers
- Cash flow management
- Allocation of miscellaneous charges in proportion to weight and volume
- Third party miscellaneous charges
- Agreements
- Transactions through intermediary
- Local reports and primary forms in Accounts receivable and Accounts payable
Inventory
- Goods in transit from vendor
- Customs declaration numbers
- Inventory cost structure
- Inventory adjustment wizard
- Inventory reports
- Inventory profile
- Customs clearance
Customs
Reporting
- Financial reporting
- Configure financial reports in Excel
- Accounting reporting in electronic format
- Assessed tax declaration
- Transport tax declaration
- Land tax declaration
- Profit tax declaration
Organization administration
Deferrals
- Set up deferrals
- Create or generate referrals
- Receipt of deferrals
- Write off deferrals
- Dispose of deferrals
- Deferrals counting
- Reporting for deferrals
Tax accounting
- Create tax registers and the tax register journal
- Expense and income codes
- Assets tax registers
- Deferrals tax register
- Cash flow tax registers
- Rated expenses registers
- Accounts payable debt tax registers and debt write-offs
- Bad debt reserves in Accounts receivable
- Calculation of tax asset and tax liability registers
- Goods movement tax registers
- Other tax registers
Additional resources
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