1Z0-1087-21 Exam Question 1
In which location do you configure rules for reconciliation compliance transactions?
1Z0-1087-21 Exam Question 2
What happens when you load balances to a reconciliation with the status Closed or Open With Reviewer and the balance is different than what was already Certified?
1Z0-1087-21 Exam Question 3
Which statement is FALSE regarding user-defined attributes?
1Z0-1087-21 Exam Question 4
Which two options indicate the minimum and respectively the maximum number of currency buckets you can enable? (Choose two.)
1Z0-1087-21 Exam Question 5
Which two statements are true about reconciliation compliance filters?