PreviousUnit 3 of 4 In ProgressCheck your knowledge 2 min.1. When does a PSP payment reconcile automatically against an open customer entry? When the customer is manually selected in the journal. When the posting date exactly matches the invoice date. When the External Payment Reference on the imported line matches the External Payment Reference on a sales document or open customer ledger entry.When the payout amount matches the bank balance.2. Match each PSP Reconciliation field to what it does. A. Extended SearchB. Posting Date ToleranceC. Default Currency CodeD. Default Customer No.3. A PSP payment line stays open in the journal because it didn't match automatically. Which of the following are valid ways to resolve an unmatched line? (Select two.) Lower the Posting Date Tolerance to zero so only exact date matches are allowed. Check the External Reference Rule Template if the reference format on the file differs from the ledger entry. Fall back to the Default Customer No. set on the agreement and apply the payment manually. Delete the PSP agreement and start a new import. Check your answers