Câu 10: MB-310: Microsoft Dynamics 365 Finance Functional Consultant
You are configuring automatic bank reconciliation functionality for a company that has multiple bank accounts. The company wants to import their bank statements. You need to import electronic bank statements to reconcile the bank accounts. Which three actions can you perform? Each correct answer presents a complete so…
Nội dung câu hỏi
You are configuring automatic bank reconciliation functionality for a company that has multiple bank accounts. The company wants to import their bank statements. You need to import electronic bank statements to reconcile the bank accounts. Which three actions can you perform? Each correct answer presents a complete solution.NOTE: Each correct selection is worth one point.
Các lựa chọn
Đáp án được giữ gọn theo nhãn A, B, C, D trong phần bình chọn tương tác.
- A. Select all the bank accounts for the bank statement files, and then upload all files
- B. Select Account reconciliation on the bank account form
- C. Import bank statements from the Data management workspace — đáp án hiện tại
- D. Navigate to Import statement on the Bank Statements page of Cash and Bank Management — đáp án hiện tại
- E. Select Import statement for multiple bank accounts in all legal entities, and then upload a zip file — đáp án hiện tại
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