IBM
C2020-605 · Question #106
If reconciliation needs to be carried out on an active/passive option for the accounts in a Balance Sheet form, which form property should be used?
The correct answer is B. Balance Control within Form. See the full explanation below for the reasoning.
Question
If reconciliation needs to be carried out on an active/passive option for the accounts in a Balance Sheet form, which form property should be used?
Options
- AAutomatic Calculation (enable)
- BBalance Control within Form
- CReconciliation settings - Difference per Row
- DReconciliation settings-Total Difference
How the community answered
(38 responses)- A5% (2)
- B82% (31)
- C3% (1)
- D11% (4)
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