Which prerequisites need to be fulfilled to reconcile cash flows from intraday bank statements? (Choose two.)
A . Perform the required settings for importing bank statements
B . Define the tolerance groups for cash flow reconciliation
C . Activate intraday memo records at the bank account level
D . Set the reconciliation status open in the Cash Flow Analyzer
Answer: A,C
Explanation:
Reference: https://help.sap.com/doc/474a13c5e9964c849c3a14d6c04339b5/100/en-US/8b25ccfcbcfc453d8d2672d41436e388.html
Latest C_S4CFI_2202 Dumps Valid Version with 80 Q&As
Latest And Valid Q&A | Instant Download | Once Fail, Full Refund