Use these data-model references to describe the records your connection needs. They are planning examples; connector availability and supported operations must be established before implementation.
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Record matching
Customers / Customers
Compare whether Dynamics 365 F&O Customers and QuickBooks Customers describe the same customer in your business.
Planning example. Stacksync support for the required connection and record operations needs a technical review.
- Dynamics 365 F&O
- Object support to establish
- QuickBooks
- Object support to establish
- Record identity
- Determine whether each customer represents an individual, a company, or a business-unit relationship before matching it to a contact or organization. Retain the source customer ID and destination ID; names and email alone are insufficient.
- Field ownership
- Separate the customer relationship from contact details, billing authority, and consent. Choose an owner for each field after identifying whether the customer is a person or company.
Fields to include
- Source customer ID
- Person/company classification
- Legal entity or business unit
- Destination identity reference
- Record dependencies
- Resolve person or company type, legal entity, business role, and any billing account before transactions.
- Validation
- Test an individual buyer, a company buyer, and one company with multiple billing relationships. Do not merge these into a single generic contact.
- Recovery
- Hold ambiguous customer matches for review and resolve customer type before retrying dependent records.
References: Dynamics 365 F&O: Customers documentation
Record matching
Customer Invoices / Invoices
Compare whether Dynamics 365 F&O Customer Invoices and QuickBooks Invoices describe the same customer invoice in your business.
Planning example. Stacksync support for the required connection and record operations needs a technical review.
- Dynamics 365 F&O
- Object support to establish
- QuickBooks
- Object support to establish
- Record identity
- Retain the invoice ID, issuer/legal entity, and original order reference; invoice numbers alone may overlap.
- Field ownership
- The financial system owns posting and accounting treatment. A posted invoice may need a credit or adjustment process instead of an overwrite.
Fields to include
- Source invoice ID
- Customer or supplier reference
- Line totals
- Currency
- Posting/payment status
- Record dependencies
- Resolve the customer or supplier, account codes, tax, currency, and accounting period before posting.
- Validation
- Test a posted invoice, a partial payment, tax rounding, and a closed accounting period. Compare financial totals within the same entity and currency.
- Recovery
- Determine whether a transaction posted before retrying. Follow the approved adjustment process for posted records.
References: Dynamics 365 F&O: Customer Invoices documentation
Record matching
Vendor Invoices / Bills
Compare whether Dynamics 365 F&O Vendor Invoices and QuickBooks Bills describe the same supplier bill in your business.
Planning example. Stacksync support for the required connection and record operations needs a technical review.
- Dynamics 365 F&O
- Object support to establish
- QuickBooks
- Object support to establish
- Record identity
- Retain the supplier-bill ID, supplier, legal entity, and document reference; distinguish it from a customer invoice.
- Field ownership
- Accounts payable owns approval and posting; a supplier bill is not an accounts-receivable invoice.
Fields to include
- Source bill ID
- Supplier reference
- Entity
- Line amounts and currency
- Approval/posting state
- Record dependencies
- Resolve supplier, expense/account codes, entity, currency, and accounting period before bill lines.
- Validation
- Test a duplicate supplier document number in another entity, a partially paid bill, and a closed period.
- Recovery
- Verify whether the bill was approved or posted before retrying; use the approved adjustment process for posted bills.
References: Dynamics 365 F&O: Vendor Invoices documentation
Business process
Sales Orders / Invoices
Order-to-invoice handoff: Dynamics 365 F&O Sales Orders provides context for QuickBooks Invoices. These are related records, not equivalent entities.
Planning example. Stacksync support for the required connection and record operations needs a technical review.
- Dynamics 365 F&O
- Object support to establish
- QuickBooks
- Object support to establish
- Record identity
- Link order and line IDs to invoice and line IDs; allow partial invoicing and multiple invoices per order.
- Field ownership
- Finance owns invoice posting; the order system supplies the approved commercial context.
Fields to include
- Source record reference
- Destination record reference
- Approved handoff state
- Duplicate-detection key
- Record dependencies
- Create or locate the customer and products first; resolve taxes, currency, and fulfillment references.
- Validation
- Test a partially invoiced order, tax rounding, and a repeated handoff without generating another invoice.
- Recovery
- Check for an existing destination order before retrying a timed-out create; reconcile line IDs to avoid duplicate fulfillment.
References: Dynamics 365 F&O: Sales Orders documentation
Record matching
Vendors / Vendors
Compare whether Dynamics 365 F&O Vendors and QuickBooks Vendors describe the same supplier or vendor in your business.
Planning example. Stacksync support for the required connection and record operations needs a technical review.
- Dynamics 365 F&O
- Object support to establish
- QuickBooks
- Object support to establish
- Record identity
- Use the supplier ID within its business entity; a supplier name may occur in several subsidiaries.
- Field ownership
- Assign responsibility for approved supplier details; restrict changes to payment instructions to the business approval process.
Fields to include
- Source supplier ID
- Legal name
- Entity reference
- Payment terms
- Active status
- Record dependencies
- Resolve business-unit and payment-term references before purchasing transactions.
- Validation
- Test a supplier shared across subsidiaries and an inactive supplier referenced by an open bill.
- Recovery
- Review rejected supplier changes before retrying dependent bills; do not reactivate a supplier merely to make a write pass.
References: Dynamics 365 F&O: Vendors documentation
Record matching
General Journal Entries / Journal entries
Compare whether Dynamics 365 F&O General Journal Entries and QuickBooks Journal entries describe the same journal or ledger entry in your business.
Planning example. Stacksync support for the required connection and record operations needs a technical review.
- Dynamics 365 F&O
- Object support to establish
- QuickBooks
- Object support to establish
- Record identity
- Retain journal ID and line IDs within the legal entity and accounting period.
- Field ownership
- The ledger owns posting approval and period controls; an integration should not treat a posted journal as an ordinary editable row.
Fields to include
- Source journal ID
- Account references
- Debit/credit amounts
- Entity
- Accounting period
- Record dependencies
- Resolve chart-of-account, currency, entity, and dimension references before lines.
- Validation
- Verify balanced debits and credits, dimension requirements, and rejection for a closed period.
- Recovery
- Reconcile posting status and use the finance-approved reversal or adjustment process instead of replaying a posted entry.
References: Dynamics 365 F&O: General Journal Entries documentation