Which three steps are performed in the Match Tape File To Recon File program (R09510) in order to
reconcile the transactions?
Question No 2
Which three statements are true regarding the Customer Account Overview mobile application?
Question No 3
Your client is attempting to track taxes for certain voucher pay Items; however, the tax information
details for the accounts are not being created.
Which two items will you have your client correct?
Question No 4
Which field or fields make up the unique key(s) that link the Receipt Header table (F03B13) to the
Receipt Detail (F03BI4) table?
Question No 5
Which two steps must be completed In order to use the Debit/Credit Reconciliation feature?