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Question 3/21

You are using EPM Automate commands to automate data load to Account Reconciliation.
In which scenario should you use EPM Automate to load the data through Data Management rather than directly into Account Reconciliation?

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Question List (21q)
Question 1: Which two attribute types are required for each data source?...
Question 2: What happens when you load balances to a reconciliation with...
Question 3: You are using EPM Automate commands to automate data load to...
Question 4: Which property of profiles is set automatically when you sel...
Question 5: You are a preparer with the User role and you are going on v...
Question 6: Which two are tasks that can be performed using EPM Automate...
Question 7: What happens when you load balances to a reconciliation with...
Question 8: Which two statements are true about Group reconciliations? (...
Question 9: When can you run auto-matching for a transaction matching re...
Question 10: To which do you assign default currencies?...
Question 11: Which is the minimum user security role required to edit pro...
Question 12: Which statement about loading pre-mapped balances is FALSE?...
Question 13: Which statement regarding user-defined attributes is FALSE?...
Question 14: In a reconciliation profile, the Account Payable Reviewers t...
Question 15: When a user requests that responsibility for a reconciliatio...
Question 16: The transaction matching period-end reconciliation displays ...
Question 17: Which two are properties of the organizational unit? (Choose...
Question 18: Which statement is always true of data loads from Data Manag...
Question 19: From which two dates defined in the period can you schedule ...
Question 20: To which do you assign Holiday Rules?...
Question 21: Which statement about journals in transaction matching is FA...