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Question 151 - MB-800 discussion

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A company is using Dynamics 365 Business Central. The finance manager creates a new general ledger (G/L) account. You need to configure the system to include the G/L account in the general journal reconciliation window. What should you do?

A.

Enable the Reconciliation Account field in the GA account card.

Answers
A.

Enable the Reconciliation Account field in the GA account card.

B.

Enable the Direct Posting field in the G/L account card.

Answers
B.

Enable the Direct Posting field in the G/L account card.

C.

Add this G/L account to the Bank Account Posting Group.

Answers
C.

Add this G/L account to the Bank Account Posting Group.

D.

Create a new payment reconciliation journal.

Answers
D.

Create a new payment reconciliation journal.

Suggested answer: A
asked 05/10/2024
Kaung Zaw Tun
35 questions
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