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  1. Home
  2. NetSuite
  3. NetSuite Financial User Certification Exam
  4. NetSuite.NetSuite-Financial-User.v2024-11-23.q30
  5. Question 1

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Question 1/30

What are two differences between fixed and dynamic allocation schedules? (Choose two.)

Correct Answer: A,C

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Other Question (30q)
Q1. What are two differences between fixed and dynamic allocation schedules? (Choose two.)...
Q2. Which row type in a Financial Report allows display of the same unmodified data from anoth...
Q3. What is the order of steps for the NetSuite standard accounts receivable process?...
Q4. What are two considerations for managing multiple fiscal calendars? (Choose 2)...
Q5. Which statement is true about the Period Close Checklist?...
Q6. What is a characteristic of Intercompany JEs?
Q7. Which statement is true about Local versus Global budgets?...
Q8. In which two places can Invoices be created based upon Billing Schedules? (Choose two)...
Q9. Write Check transaction and a Pay Vendor transaction the difference?...
Q10. Which transaction requires a credit memo before a refund?...
Q11. What is an example of a subsidiary?
Q12. A sales order should be billed when certain key project tasks have been completed...
Q13. What are two characteristics of setting up Bank Accounts? (Choose 2)...
Q14. Which expense allocation use case requires the use of statistical accounts...
Q15. Which account type is non-posting?
Q16. Which setting requires separate review of sales orders?...
Q17. Which two statement are true about setting up the intercompany expense allocation (choose ...
Q18. Which statement is true about expense allocations?...
Q19. On which financial statement are invoices summarized?...
Q20. which 2 record types can be applied to customer payment (choose 2)...
Q21. Which two statements are true about setting up expense allocations? (Choose two.)...
Q22. Which two settings are needed for billable items to appear on the customer invoice? (Choos...
Q23. Which transaction, that records the expense and the cash spent in one step, can be used to...
Q24. Which statement is true about NS budgets?
Q25. Which report shows the total value of current assets?...
Q26. How does NetSuite set up a company record when you buy from and sell to the same company?...
Q27. Bank accounts interact with subsidiaries?
Q28. What two transactions cause a Bill Variance journal entry to be posted?...
Q29. Which two account types can be used to Pay Vendor Bills? (Choose two)...
Q30. How can the financial reports be kept separate when tracking finances for two wholly owned...
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