Question

In SAP FI, what is the primary purpose of assigning a "Reconciliation Account" in a Customer or Vendor Master Record?

A To calculate interest on overdue customer invoices automatically.
B To link sub-ledger individual accounts (Customer/Vendor) directly to the General Ledger in real-time without manual posting.
C To reconcile monthly bank statements with internal cash books.
D To record year-end depreciation adjustments for trade receivables.
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