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Workday-Record-to-Report Exam Dumps - WorkdayProRecord-to-Report (R2R)Certification Exam

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Question # 4

Refer to the following scenario to answer the question below.

A company is a global organization that needs to comply with multiple accounting standards. The company has configured their account posting rules so that certain supplier invoices will comply with U.S. GAAP rules but will not comply with IFRS.

In addition to the supplier invoices, what transaction is necessary for the IFRS book to achieve compliance?

A.

An adjusting journal entry that includes a book code specific to U.S. GAAP.

B.

Two adjusting journal entries that include book codes for IFRS and for U.S. GAAP.

C.

An adjusting journal entry assigned to the blank book code.

D.

An adjusting journal entry that includes a book code specific to IFRS.

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Question # 5

There are several companies within a tenant, one of the companies requires a location worktag on supplier invoices.

What task should you use to manage this requirement?

A.

Maintain Related Worktag Usage

B.

Maintain Business Process Step Conditions

C.

Maintain Custom Validations

D.

Maintain Worktag Usage

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Question # 6

What task will you use to specify a bank account's usage?

A.

Set Up New Bank Account

B.

Edit Bank Account

C.

Define Bank Account Usage

D.

Modify Bank Account Information

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Question # 7

After running an allocation, what status will the resulting journal(s) be in?

A.

Pro Forma

B.

Posted

C.

In Progress

D.

Created

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Question # 8

Once a user enters a financial transaction, what company accounting detail is locked from being changed?

A.

Account Translation Rule Set

B.

Company Currency

C.

Account Posting Rule Set

D.

Account Control Rule Set

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