FSM CERTIFICATION PRACTICE EXAM
2025 QUESTIONS WITH ALL PASSED
ANSWERS!!
, 1 of 54
Term
You are using Infor FSM Cash Management and the system
compares the expected number of bank statement transactions to
the actual number of transactions. Which one of the following
items does this comparison?
Reconciliation Template
Bank Transaction
Interface
Bank Interface Administration
Bank Statement Interface
Give this one a try later!
Reconciliation match rules Matched within tolerance
Non-Cash ledger transactions Bank Statement Interface
Don't know?
2 of 54
Term
Which two of the following times during the invoice process will the
system create invoice messages?
Reconciliation
Invoice Unmatch
,Invoice Entry
Invoice Cancel
Give this one a try later!
Non-AR Unassigned
Reconciliation
Invoice Entry Speed Transaction Entry
Don't know?
3 of 54
Term
You are handling statement line exceptions in Infor FSM Cash
Management. When exceptions exist in bank statements, which
one of the following must you do before proceeding.
Delete the
exceptions Flag the
exceptions Record
the exceptions
Resolve the exceptions
Give this one a try later!
Matched within tolerance Detail level match
, Resolve the exceptions Speed Transaction Entry
Don't know?
4 of 54
Term
A company adds bar coded assets through a hand-held terminal.
Which one of the following is required when using bar coding to
add an asset item?
Asset location
Asset template
Asset account group
Company book calendar
Give this one a try later!
Assignments Project Contract
Priorities Asset template
Don't know?
5 of 54
Term
2025 QUESTIONS WITH ALL PASSED
ANSWERS!!
, 1 of 54
Term
You are using Infor FSM Cash Management and the system
compares the expected number of bank statement transactions to
the actual number of transactions. Which one of the following
items does this comparison?
Reconciliation Template
Bank Transaction
Interface
Bank Interface Administration
Bank Statement Interface
Give this one a try later!
Reconciliation match rules Matched within tolerance
Non-Cash ledger transactions Bank Statement Interface
Don't know?
2 of 54
Term
Which two of the following times during the invoice process will the
system create invoice messages?
Reconciliation
Invoice Unmatch
,Invoice Entry
Invoice Cancel
Give this one a try later!
Non-AR Unassigned
Reconciliation
Invoice Entry Speed Transaction Entry
Don't know?
3 of 54
Term
You are handling statement line exceptions in Infor FSM Cash
Management. When exceptions exist in bank statements, which
one of the following must you do before proceeding.
Delete the
exceptions Flag the
exceptions Record
the exceptions
Resolve the exceptions
Give this one a try later!
Matched within tolerance Detail level match
, Resolve the exceptions Speed Transaction Entry
Don't know?
4 of 54
Term
A company adds bar coded assets through a hand-held terminal.
Which one of the following is required when using bar coding to
add an asset item?
Asset location
Asset template
Asset account group
Company book calendar
Give this one a try later!
Assignments Project Contract
Priorities Asset template
Don't know?
5 of 54
Term