Revised 03/16/2026
This is part two of a three part Month End Processes series. For part one, please see Bank Account Reconciliation - Suggested Learning Course. For part three, please see Joint Investment Allocation - Suggested Learning Course.
This suggested learning course outlines how fund fees are calculated in Business Central, covering fund fee formulas, fund‑level fields, General Ledger settings, and optional custom account filters. You’ll learn how to prepare, run, review, apply, and reverse fund fee assessments, with guidance on key settings that impact how and when entries are posted. Additional resources for each topic (if available) are included in each section below.
While we suggest watching all videos in order, you may click on a Title below to jump to a topic:
Understanding Fund Fee Setup
You’ll also learn how the Auto Post Fund Fees setting impacts whether entries are reviewed or automatically posted during the fund fee assessment process
For more information, please see Fund Fees Assessment - Fund Fee Formula.
Custom Account Filter
This video provides an overview of the "Custom Account Filter" field that an be used to specific G/L accounts other than Net Asset Accounts to be used by this process.
For more information, please see Fund Fees Assessment - Custom Account Filter.
Note: If fund fees are based on net asset balances, then the steps for custom account filtering in the above video can be skipped.
Running the Fund Fee Assessment Process and Calculating Adjustments
This video explains how to set key parameters for running the Fund Fee Assessment in Business Central, including averaging periods, fee periods, ending dates, and posting dates.
You’ll also learn what happens during the calculation process and how system status updates as fund balances are gathered and fees are calculated.
For more information, please see Fund Fees Assessment - Running Fund Fee Assessment.
Reviewing Adjustments
This video walks through reviewing fund fee adjustment results, including validating revenue and expense amounts, understanding posting descriptions, and exporting the adjustment details to Excel for further review.
For more information, please see Fund Fees Assessment - Post Fund Fee Assessment.
Applying Adjustments
For more information, please see Fund Fees Assessment - Post Fund Fee Assessment.
