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Question 13 - C_THR82_2405 discussion

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Which of the following is a required configuration step when implementing self-initiated payments (SIP) in the bank account ledger?

A.

Assign G/L account to cash clearing account

Answers
A.

Assign G/L account to cash clearing account

B.

Assign account symbol to payment methods

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B.

Assign account symbol to payment methods

C.

Assign bank subaccount to payment methods

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C.

Assign bank subaccount to payment methods

D.

Assign bank account tpayment methods

Answers
D.

Assign bank account tpayment methods

Suggested answer: D
asked 31/10/2024
Jose Walter
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