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Exam MB-310 All Questions

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Exam MB-310 topic 1 question 107 discussion

Actual exam question from Microsoft's MB-310
Question #: 107
Topic #: 1
[All MB-310 Questions]

A company has implemented Dynamics 365 Finance.

The company requires better visibility into their cash flow and wants to reconcile bank accounts daily with a timely view of check deposits.

You need to configure the bank accounts for more accurate timing of cash flow.

What should you configure?

  • A. Pending balance
  • B. Account posting type
  • C. Bridging accounts
  • D. Advanced bank reconciliation
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Suggested Answer: D 🗳️

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globeearth
5 days, 20 hours ago
Selected Answer: D
To provide better visibility into the company’s cash flow and enable daily bank account reconciliation with a timely view of check deposits in Dynamics 365 Finance, you should configure: D. Advanced bank reconciliation The requirement is to improve cash flow visibility and reconcile bank accounts daily with a timely view of check deposits. Advanced bank reconciliation in Dynamics 365 Finance is designed to enhance bank reconciliation processes by allowing the import of bank statements, automatic matching of transactions, and real-time visibility into bank account balances, including check deposits.
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