1. Question: Which of the following balance sheet accounts doesn't have an account register?

    A
    Retained earnings

    B
    Opening balance equity

    C
    Payroll liabilities

    D
    Owner's capital

    Note: Answer not sure
    1. Report
  2. Question: Which of the following can help you recreate information about deleted transactions by providing debit and credit details for the original transactions?

    A
    Audit trail report

    B
    Deleted transactions report

    C
    Voided/deleted transaction history report

    D
    None of these

    Note: Answer not sure
    1. Report
  3. Question: In which list do you enter the sales tax rates?

    A
    Vendor list

    B
    Sales Tax list

    C
    Item list

    D
    Sales Tax Payable list

    Note: Answer not sure
    1. Report
  4. Question: Collecting accounts receivable depends on what other activity happening first?

    A
    A customer being determined as delinquent

    B
    A purchase order being issued

    C
    An invoice being generated

    D
    A quote being generated

    Note: Answer not sure
    1. Report
  5. Question: In the Working Trial Balance, what does 0.00 for each column indicates?

    A
    The Working Trial Balance report basis is set to Cash

    B
    There was no activity for that account in the current period

    C
    Total debits equal total credits

    D
    None of these

    Note: Answer not sure
    1. Report
  6. Question: Which of the following can be done in the Financial Statement Designer?

    A
    Quick Zoom to edit source transactions

    B
    Customize Statements to report on net income before and after tax

    C
    Export Customized Templates for use with other clients

    D
    All of these

    Note: Answer not sure
    1. Report
  7. Question: Which of the following tasks is not allowed while working in the accountant's copy?

    A
    Entering general journal transactions.

    B
    Adding new items to the Payroll Item list.

    C
    Creating new reports.

    D
    Making adjusting entries.

    Note: Answer not sure
    1. Report
  8. Question: If a bank reconciliation does not balance even after reviewing the transactions, what is the best option?

    A
    Book an adjustment to Misc Expense regardless of the amount in order to force it to balance

    B
    Leave it unbalanced and assume it will clear the following month

    C
    Tell your supervisor there is an accounting error and someone needs to find it

    D
    Unclear all transactions and begin again

    Note: Answer not sure
    1. Report
  9. Question: Which of the following transactions should not be recorded in the Transfer Funds window?

    A
    Money going to or from Sales Tax Payable

    B
    Money going to or from Accounts Receivable

    C
    Money going to or from Accounts Payable

    D
    All of these

    Note: Answer not sure
    1. Report
  10. Question: Where does the column headings come from in the After-the-Fact Payroll window?

    A
    Employee defaults

    B
    Payroll items

    C
    Employee items

    D
    Prior paychecks

    Note: Answer not sure
    1. Report
Copyright © 2024. Powered by Intellect Software Ltd