Which reconciliation method is appropriate for a prepaid insurance reconciliation that explains the current month balance?
Which three statements are true about importing transaction matching transactions from the Jobs page? (Choose three.)
You are a preparer with the User role and you are going on vacation.How can you assign responsibility for reconciliations currently open with you to the backup preparer?
What results if you load balances using Data Management to a period to which you previously imported pre-mapped balances?
Which two statements are true about Group reconciliations? (Choose two.)
You are creating a matching rule, and you want transactions that are within the specified tolerance range to be matched automatically, with no need for further user review.Which option should you choose for the Match Status?