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Microsoft

MB-310 · Question #261

You use Dynamics 365 Finance for daily bank reconciliation. You must use the BAI2 bank statement format. You need to configure the import bank statement format for the bank reconciliation process…

The correct answer is C. Set up an import project for the bank statement in a Data management workspace using files. You've hit your limit · resets 4am (America/New_York)

Set up and configure financial management

Question

You use Dynamics 365 Finance for daily bank reconciliation. You must use the BAI2 bank statement format. You need to configure the import bank statement format for the bank reconciliation process. What should you do?

Options

  • AImport the bank statement as a template for the bank statement format.
  • BSet up a batch job to import the bank statement.
  • CSet up an import project for the bank statement in a Data management workspace using files
  • DSet up a journal name to import a bank statement transaction.

How the community answered

(49 responses)
  • A
    4% (2)
  • B
    2% (1)
  • C
    94% (46)

Explanation

You've hit your limit · resets 4am (America/New_York)

Topics

#BAI2 format#bank statement import#data management workspace#bank reconciliation

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