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Question 180 - MB-310 discussion
A customer uses bank reconciliation functionality In Dynamics 365 Finance.
The customer finds a transaction in a closed fiscal period that must be corrected.
You need to correct the transaction.
How should you nuke this correction?
A.
Use the Correction amount field.
B.
Open the fiscal period.
C.
Create a new line for the transaction in the closed period.
D.
Create a new line for the transaction in an open period
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