BEGIN:VCALENDAR
VERSION:2.0
PRODID:-//JDEMart.com - ECPv6.15.18//NONSGML v1.0//EN
CALSCALE:GREGORIAN
METHOD:PUBLISH
X-WR-CALNAME:JDEMart.com
X-ORIGINAL-URL:https://jdemart.com
X-WR-CALDESC:Events for JDEMart.com
REFRESH-INTERVAL;VALUE=DURATION:PT1H
X-Robots-Tag:noindex
X-PUBLISHED-TTL:PT1H
BEGIN:VTIMEZONE
TZID:Europe/Madrid
BEGIN:DAYLIGHT
TZOFFSETFROM:+0100
TZOFFSETTO:+0200
TZNAME:CEST
DTSTART:20250330T010000
END:DAYLIGHT
BEGIN:STANDARD
TZOFFSETFROM:+0200
TZOFFSETTO:+0100
TZNAME:CET
DTSTART:20251026T010000
END:STANDARD
BEGIN:DAYLIGHT
TZOFFSETFROM:+0100
TZOFFSETTO:+0200
TZNAME:CEST
DTSTART:20260329T010000
END:DAYLIGHT
BEGIN:STANDARD
TZOFFSETFROM:+0200
TZOFFSETTO:+0100
TZNAME:CET
DTSTART:20261025T010000
END:STANDARD
BEGIN:DAYLIGHT
TZOFFSETFROM:+0100
TZOFFSETTO:+0200
TZNAME:CEST
DTSTART:20270328T010000
END:DAYLIGHT
BEGIN:STANDARD
TZOFFSETFROM:+0200
TZOFFSETTO:+0100
TZNAME:CET
DTSTART:20271031T010000
END:STANDARD
END:VTIMEZONE
BEGIN:VEVENT
DTSTART;TZID=Europe/Madrid:20260312T160000
DTEND;TZID=Europe/Madrid:20260312T170000
DTSTAMP:20260412T105630
CREATED:20260202T230015Z
LAST-MODIFIED:20260226T222200Z
UID:54749-1773331200-1773334800@jdemart.com
SUMMARY:Take the pain out of month-end close by getting control with Account & Inventory Reconciliation - March 12th Session
DESCRIPTION:Month-end shouldn’t mean detective work in Excel. Or posting lump-sum journals just to “make it fit”. If your inventory valuation doesn’t tie to the G/L\, or reconciling suspense accounts is a recurring headache\, this live demo is for you. \nIn this free webinar\, you’ll learn how Account & Inventory Reconciliation Solution helps JD Edwards teams work faster and with more confidence. Using a real-life case study at Superior Diesel\, you will discover how this solution made large discrepancies between inventory and general ledger transparent and significantly improved the financial process. \nHere’s what you can expect in the demo: \n\nAutomatically match inventory transactions and journal entries to pinpoint discrepancies.\nKeep inventory and suspense balances up to date\, without endless manual reconciliation.\nUse as-of reporting to explain balances per period (even retroactively)\, supported by unique references for track & trace.\nImprove inventory integrity by validating changes periodically (e.g.\, nightly/weekend) and spotting issues quickly.\n\nJoin us and see the solution in action. The session will be practical\, JD Edwards–native\, and designed to make month-end and year-end close significantly easier. \n			\n				Register Now
URL:https://jdemart.com/event/take-the-pain-out-of-month-end-close-by-getting-control-with-account-inventory-reconciliation-march-12th-session/
LOCATION:Webinar
ATTACH;FMTTYPE=image/png:https://jdemart.com/wp-content/uploads/2026/02/March-2026-3.png
END:VEVENT
BEGIN:VEVENT
DTSTART;TZID=Europe/Madrid:20260317T190000
DTEND;TZID=Europe/Madrid:20260317T200000
DTSTAMP:20260412T105630
CREATED:20260202T230518Z
LAST-MODIFIED:20260226T221909Z
UID:54760-1773774000-1773777600@jdemart.com
SUMMARY:Take the pain out of month-end close by getting control with Account & Inventory Reconciliation - March 17th Session
DESCRIPTION:Month-end shouldn’t mean detective work in Excel. Or posting lump-sum journals just to “make it fit”. If your inventory valuation doesn’t tie to the G/L\, or reconciling suspense accounts is a recurring headache\, this live demo is for you. \nIn this free webinar\, you’ll learn how Account & Inventory Reconciliation Solution helps JD Edwards teams work faster and with more confidence. Using a real-life case study at Superior Diesel\, you will discover how this solution made large discrepancies between inventory and general ledger transparent and significantly improved the financial process. \nHere’s what you can expect in the demo: \n\nAutomatically match inventory transactions and journal entries to pinpoint discrepancies.\nKeep inventory and suspense balances up to date\, without endless manual reconciliation.\nUse as-of reporting to explain balances per period (even retroactively)\, supported by unique references for track & trace.\nImprove inventory integrity by validating changes periodically (e.g.\, nightly/weekend) and spotting issues quickly.\n\nJoin us and see the solution in action. The session will be practical\, JD Edwards–native\, and designed to make month-end and year-end close significantly easier. \n			\n				Register Now
URL:https://jdemart.com/event/take-the-pain-out-of-month-end-close-by-getting-control-with-account-inventory-reconciliation-march-17th-session/
LOCATION:Webinar
ATTACH;FMTTYPE=image/png:https://jdemart.com/wp-content/uploads/2026/02/March-2026-2-2.png
END:VEVENT
END:VCALENDAR