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SAP Certified Application Associate - Management Accounting with SAP ERP 6.0 EhP7 C_TFIN22_67 Question # 69 Topic 7 Discussion

SAP Certified Application Associate - Management Accounting with SAP ERP 6.0 EhP7 C_TFIN22_67 Question # 69 Topic 7 Discussion

C_TFIN22_67 Exam Topic 7 Question 69 Discussion:
Question #: 69
Topic #: 7

Your New GL customer uses real-time reconciliation of CO and FI. The customer wants to show the value flow of activity allocations between cost centers assigned to different profit centers. What does the customer have to configure?

There are 2 correct answers to this question.

Response:


A.

Execute the periodic transfer to profit center accounting.


B.

Define a G/L reconciliation account for direct activity allocation.


C.

Select profit center as a characteristic for real time reconciliation between CO and FI.


D.

Carry out a reconciliation run for activities types in the new GL.


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