PreviousUnit 4 of 5 Check your knowledge2 min.1.Which scenarios accurately reflect the capabilities of Continia Banking? (Select two correct answers)A book keeper often experiences payments being rejected because of missing information required by the bank.An accountant must manually match every bank statement line with a corresponding ledger entry to reconcile a bank account. A company requires all payments to go through an approval step before they are sent to the bank for processing.An employee receives an automatic email confirming that their reimbursement has been processed.2. When does the billing for Continia Banking start?It starts automatically after a 30 days free trial.It starts when you activate the subscription for the solution.It starts immediately after you activate the solution.It starts when you download the app.3.Which of the following statements about Banking Import are correct? (Select two correct answers) The reconciliation process requires direct communication with the bank.You can manually import third-party CSV statement files.It offers two different methods for reconciliationThe Banking Import module requires a separate installation.Check your answers