1Z0-1056-21 Exam Question 21

You have created two transactions with a 30-day payment term. The first transaction is on January 29, 2015 and the second transaction is on January 31, 2015. The invoice date is the same as the system date. Both transactions are assigned an unsigned receipt method that has the lead days set to 60, number of bills receivable rule set to one per customer, and the bills receivable maturity date rule set to latest.
Which statement is true when the create bills receivable batch is processed for a customer on January 31, 2015?
  • 1Z0-1056-21 Exam Question 22

    You are explaining the benefits of using Bill Management as a self-service electronic bill presentment solution to an existing customer.
    Which feature is not supported in Bill Management?
  • 1Z0-1056-21 Exam Question 23

    Your customer has three sites defined in the system, site 1, site 2, and site 3. All sites have their own billing strategy defined and Balance Forward Billing is enabled for site 1 and Site 2 at the account level.
    How will bills be generated?
  • 1Z0-1056-21 Exam Question 24

    You are creating a remittance bank account for the factored with recourse bills receivable remittance receipt method.
    Which bank account setup controls receipt application to short-term debt?
  • 1Z0-1056-21 Exam Question 25

    What is required to register an external user to Bill Management?