Check your knowledge

Completed

Answer the following questions to see what you've learned.

1.

After importing a bank statement in the payment reconciliation journal, you use the Apply Automatically function. You don't agree with one of the suggestions that the system makes. What should you do?

2.

After importing a bank statement in the payment reconciliation journal, you notice that some lines have a medium match confidence. To further investigate this issue, you need more details than the one that is displayed on the payment registration journal line. Where can you find more details on the selected transaction?

3.

What happens if you run the Post Payments and Reconcile Bank Accounts function?