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Question 154 - MB-800 discussion
A company uses Dynamics 365 Business Central.
An accountant posts bank entries at month end. The accountant must manually reconcile customer and vendor payment entries.
You need to reconcile the entries.
Which two pages should you use? Each correct answer presents part of the solution.
NOTE: Each correct selection is worth one point.
A.
Customer Ledger Entries
B.
Vendor Ledger Entries
C.
Check Ledger Entries
D.
Bank Account Ledger Entries
Your answer:
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