Oracle JD Edwards EnterpriseOne Financial Management 9.2 Implementation Essentials 1z0-342 Question # 10 Topic 2 Discussion

Oracle JD Edwards EnterpriseOne Financial Management 9.2 Implementation Essentials 1z0-342 Question # 10 Topic 2 Discussion

1z0-342 Exam Topic 2 Question 10 Discussion:
Question #: 10
Topic #: 2

You have a clearing account that is out of balance and you elect to use the Debit/Credit Match program to assist in the reconciliation. Which four steps are required?


A.

Running the Bank Journal Statement Process.


B.

Refreshing account information in the Account Ledger Reconciliation table.


C.

Reconciling void payments and receipts.


D.

Unreconciling transactions when needed.


E.

Manually Reconciling transactions.


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