Microsoft
MB3-701 · Question #83
You need to match Payables Management transactions to the corresponding General Ledger distribution transactions for a specific period. Which process should you use?
The correct answer is B. Reconcile to GL. See the full explanation below for the reasoning.
Question
You need to match Payables Management transactions to the corresponding General Ledger distribution transactions for a specific period. Which process should you use?
Options
- AArchived Matched Transactions
- BReconcile to GL
- CPayables Year End Close
- DReconcile Financial Information
How the community answered
(60 responses)- A8% (5)
- B72% (43)
- C15% (9)
- D5% (3)
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