A client uses the standard trial balance in Dynamics 365 Finance. The client has the following requirements: ✑ ability to run the trial balance by main account, department, and division ✑ ability to run the trial balance by just main account and department You need to ensure that these options are visible in the trial balance report parameters. What should you configure?

A. ledger validation
B. financial dimensions for department and division
C. financial dimension sets
D. account structure

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