To which account should the customer payments be posted, to consolidate all customer payments recorded through the day into one bank deposit at the end of the day?
Answer(s): C
Bank accounts interact with subsidiaries?
Answer(s): D
The simplest way to post bank service fees ... reconcile bank statement pages?
Answer(s): B
Which two boxes must be used to reverse the journal entry next month (choose 2)
Answer(s): A,D
Post your Comments and Discuss NetSuite NetSuite-Financial-User exam with other Community members:
To protect our content from bots for real learners like you, we ask you to register for free. Sign in or sign up now to continue with the NetSuite-Financial-User material!