What do you configure to allow cross-company-code transactions? Note- There are 2 correct answers to this question.
What do you configure to allow cross-company-code transactions? Note- There are 2 correct answers to this question.
A . Clearing accounts
B . Account types
C . Special G/L indicator
D . Posting keys
Answer: A,D
Latest C_TS4FI_1809 Dumps Valid Version with 285 Q&As
Latest And Valid Q&A | Instant Download | Once Fail, Full Refund
Subscribe
Login
0 Comments
Inline Feedbacks
View all comments