nerdexam
Microsoft

MB-310 · Question #268

MB-310 Question #268: Real Exam Question with Answer & Explanation

The correct answer is D. Advanced bank reconciliation. See the full explanation below for the reasoning.

Question

A company has implemented Dynamics 365 Finance. The company requires better visibility into their cash flow and wants to reconcile bank accounts daily with a timely view of check deposits. You need to configure the bank accounts for more accurate timing of cash flow. What should you configure?

Options

  • APending balance
  • BAccount posting type
  • CBridging accounts
  • DAdvanced bank reconciliation

Community Discussion

No community discussion yet for this question.

Full MB-310 Practice