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MB-310 · Question #345

You are configuring Dynamics 365 Finance. You need to implement advanced bank reconciliation. Which three actions should you perform? Each correct answer presents part of the solution. NOTE: Each…

The correct answer is B. Perform automatic matching and creation of reconciliation journals. C. Import bank statements through the Data entity framework. D. Configure a number sequence. You've hit your limit · resets 4am (America/New_York)

Set up and configure financial management

Question

You are configuring Dynamics 365 Finance. You need to implement advanced bank reconciliation. Which three actions should you perform? Each correct answer presents part of the solution. NOTE: Each correct selection is worth one point.

Options

  • AConfigure Bank statement import.
  • BPerform automatic matching and creation of reconciliation journals.
  • CImport bank statements through the Data entity framework.
  • DConfigure a number sequence.
  • EConfigure matching rules and matching groups for bank transactions.

How the community answered

(23 responses)
  • A
    9% (2)
  • B
    70% (16)
  • E
    22% (5)

Explanation

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

Topics

#bank reconciliation#bank statement import#matching rules#data entity framework

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