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There are many questions related to the new Trade Allowance Management functionality in Dynamics AX 2012 R3.  The blogs below were created to help with some of those questions.

 

1. Setup:  This blog discusses the required and optional setup for Trade Allowance Management Agreements:

http://blogs.msdn.com/b/axsupport/archive/2015/04/30/trade-allowance-management-blog-series-setup.aspx

 

2. Trade Allowance Agreements – Lump Sum:  This blog discusses setting up Trade Allowance Agreement Header and Line specifically the Lump Sum setup.

http://blogs.msdn.com/b/axsupport/archive/2015/10/27/trade-allowance-management-blog-series-trade-allowance-agreements-for-lump-sum.aspx

 

3. Trade Allowance Agreements – Bill Back:  This blog builds on the Trade Allowance Agreements for the Lump Sum blog, but specifically for the Bill Back setup.

http://blogs.msdn.com/b/axsupport/archive/2015/10/27/trade-allowance-management-blog-series-trade-allowance-agreements-for-bill-back.aspx

 

4. Trade Allowance Agreements – Off Invoice: This blog builds on the Trade Allowance Agreements for the Lump Sum blog, but specifically for the Off Invoice setup.

http://blogs.msdn.com/b/axsupport/archive/2015/10/27/trade-allowance-management-blog-series-trade-allowance-agreements-for-off-invoice.aspx

We're always looking for feedback and would like to hear from you. Please head to the Dynamics 365 Community to start a discussion, ask questions, and tell us what you think!