[Q26-Q42] Use the best ways of preparing for Workday-Procure-to-Pay Exam Dumps with VCEEngine Workday Workday-Procure-to-Pay PDF Dumps [2026]

Share

Use the best ways of preparing for Workday-Procure-to-Pay Exam Dumps with VCEEngine Workday Workday-Procure-to-Pay dump PDF [2026]

Workday Workday-Procure-to-Pay exam candidates will surely pass the Exam if they consider the Workday-Procure-to-Pay dumps learning material presented by VCEEngine.

NEW QUESTION # 26
You are setting up your suppliers, and you must group them in various ways.
What is the criterion for supplier categories and groups?

  • A. One supplier category and unlimited supplier groups
  • B. One supplier category and one supplier group
  • C. No limits on supplier categories and groups
  • D. Unlimited supplier categories and groups

Answer: A

Explanation:
Workday distinguishes between supplier categories, used as a single-value classification on each supplier record for reporting purposes, and supplier groups, which provide a more flexible, multi-value grouping mechanism that can be used for security, routing, and reporting across many overlapping use cases. The Official Workday Pro Procure-to-Pay Guide confirms that each supplier may be assigned to exactly one supplier category, while being added to an unlimited number of supplier groups, allowing suppliers to participate in many different group-based configurations simultaneously while maintaining a single primary classification. Option A is incorrect because limiting supplier groups to one would eliminate the flexibility that groups are specifically designed to provide. Option C is incorrect because allowing no limits on supplier categories would contradict the single-category design intended for consistent primary classification. Option D is incorrect because, although supplier groups are indeed unlimited, the option also incorrectly claims unlimited supplier categories, which is not supported by the supplier record's single-category field.


NEW QUESTION # 27
To require a location on a supplier invoice for your company only, what task do you use?

  • A. Configure Optional Fields
  • B. Maintain Worktag Usage
  • C. Maintain Related Worktag Usage
  • D. Maintain Custom Validations

Answer: D

Explanation:
While Workday provides tenant-wide settings to control worktag requirements, sometimes a business requirement applies only to a single company rather than the entire tenant, requiring a more targeted configuration approach. The Official Workday Pro Procure-to-Pay Guide describes Maintain Custom Validations as the task used to build condition-based rules, such as requiring the Location worktag on supplier invoices only when the Company equals a specific value, displaying an error message if the requirement is not met. This approach scopes the requirement precisely to the company in question without affecting other companies in the tenant. Option A is incorrect because Maintain Related Worktag Usage governs allowed combinations of worktag values across the tenant, not company-specific field requirements. Option C is incorrect because Configure Optional Fields manages broad field visibility settings rather than conditional, company-specific requirement logic. Option D is incorrect because Maintain Worktag Usage sets tenant-wide usage levels, such as Required or Optional, for a worktag type on a transaction, and does not provide the granularity to apply a requirement to one company only.


NEW QUESTION # 28
You discovered that an incorrect quantity of received goods was recorded.
How will you correct the error?

  • A. Close Purchase order line for receiving
  • B. Edit the Purchase Order
  • C. Create a Receipt Adjustment
  • D. Create a Return to Supplier

Answer: C

Explanation:
Receipts in Workday record the quantity of goods or services that have arrived against a purchase order line, and these records sometimes contain data entry errors that need correction without disturbing the underlying purchase order. The Official Workday Pro Procure-to-Pay Guide identifies the Create Receipt Adjustment task as the correct tool for correcting an incorrect quantity that was recorded on a previously entered receipt, allowing the quantity to be revised up or down while maintaining an accurate audit trail of receiving activity.
Option B is incorrect because editing the purchase order changes the ordered quantity or terms, not the quantity that was actually recorded as received. Option C is incorrect because Return to Supplier represents a physical return of goods back to the supplier and is used when goods need to be sent back, not simply to correct a recording error. Option D is incorrect because closing the PO line for receiving prevents future receipts but does nothing to correct the inaccurate quantity already recorded on the existing receipt.


NEW QUESTION # 29
The spend category for office equipment was created. This will post to the general ledger account 6210 Office Equipment.
How can you ensure this posts correctly for supplier invoices?

  • A. Edit the Payables Account posting rule to include the Spend Category dimension.
  • B. Edit the Payables Account posting rule to include the Spend Category dimension and the Office Equipment value.
  • C. Edit the Spend Account posting rule to include the Spend Category dimension.
  • D. Edit the Spend Account posting rule to include the Spend Category dimension and the Office Equipment valued

Answer: D

Explanation:
Account Posting Rules direct how transactions post to the general ledger based on combinations of worktag dimensions, and different rule types govern different sides of the accounting entry, such as the expense, or spend, side versus the liability side. The Official Workday Pro Procure-to-Pay Guide explains that to ensure a supplier invoice using the Office Equipment spend category posts to general ledger account 6210, the administrator should edit the Spend Account posting rule, adding both the Spend Category dimension and the specific Office Equipment value, so that the rule precisely targets transactions in that spend category and directs them to 6210. Option B is incorrect because the Payables Account posting rule governs the accounts payable liability account, not the expense account being targeted here. Option C is incorrect because including the dimension without specifying the Office Equipment value would not create a rule specific enough to differentiate this spend category from others. Option D is incorrect because it combines the correct value with the wrong rule type, the Payables Account rule, rather than the Spend Account rule.


NEW QUESTION # 30
What task must you initiate to create a primary worktag for a cost center on all purchase orders and supplier invoices?

  • A. Maintain Worktag Usage
  • B. Maintain Custom Validations
  • C. Maintain Related Worktag Usage
  • D. Enable Custom Worktags

Answer: C

Explanation:
Configuring how a worktag, such as Cost Center, is required and designated across transaction types is managed through the worktag usage configuration tasks, which control the relationships and designations of worktags on transactional documents. The Official Workday Pro Procure-to-Pay Guide associates the Maintain Related Worktag Usage task with establishing how a worktag type, such as Cost Center, functions as a primary worktag across multiple business object types, including both purchase orders and supplier invoices, ensuring consistent designation across these related transaction types. Option B is incorrect because Enable Custom Worktags is used to activate custom worktag types for use in the tenant, not to designate primary status for an existing delivered worktag type like Cost Center. Option C is incorrect because Maintain Custom Validations builds conditional messaging rules rather than configuring worktag designations. Option D, Maintain Worktag Usage, is incorrect in this context because the cross-document, related designation of cost center as primary across both purchase orders and supplier invoices is governed by the related worktag usage configuration described in the guide.


NEW QUESTION # 31
When should you close purchase order (PO) lines in Workday?

  • A. When all goods on the line are received and invoiced
  • B. After the purchase order is approved
  • C. After the supplier invoice has been paid in full
  • D. At the end of the fiscal year

Answer: A

Explanation:
Purchase order lines represent the agreed scope of goods or services to be delivered and billed, and closing a line signals that no further receiving or invoicing activity is expected, which can also affect budget checks and encumbrance balances. The Official Workday Pro Procure-to-Pay Guide indicates that the appropriate time to close a PO line is once all goods or services on that line have been fully received and fully invoiced, confirming that the line's lifecycle is complete and no remaining activity is anticipated. Option A is incorrect because focusing on whether the supplier invoice has been paid ties the closure decision to the payment process rather than to the completeness of receiving and invoicing, which are the relevant triggers. Option C is incorrect because closing a line immediately after approval would prevent any receiving or invoicing from ever occurring against that line, which contradicts its purpose. Option D is incorrect because tying line closure strictly to fiscal year-end is arbitrary and could result in closing incomplete lines prematurely or leaving completed lines open unnecessarily.


NEW QUESTION # 32
When creating a company or making a change to the overall structure of an organization hierarchy, describe what is needed?

  • A. A reorganization event must be created.
  • B. Cost center changes should be routed through the business process.
  • C. Custom worktags should be created to capture the changes.
  • D. Workers must be re-assigned to the appropriate sub-type.

Answer: A

Explanation:
Changes to an organization's overall structure, such as creating a new company or restructuring how organizations relate to one another within a hierarchy, affect historical reporting, security, and financial data, and therefore require a controlled, effective-dated mechanism to implement properly. The Official Workday Pro Procure-to-Pay Guide describes the reorganization event as the required mechanism for creating a company or making structural changes to an organization hierarchy, ensuring that the change is properly effective-dated, documented, and that dependent data, such as worker assignments and reporting relationships, is updated consistently. Option A is incorrect because custom worktags are reporting dimensions used for tagging transactions and do not themselves capture or implement organizational structure changes. Option B is incorrect because, while transactional changes to cost centers may route through business processes, the question concerns structural changes to the organization hierarchy itself, which specifically requires a reorganization event. Option D is incorrect because reassigning workers to appropriate sub-types is typically a consequence that occurs as part of, or following, a reorganization event, not the mechanism that creates the structural change itself.


NEW QUESTION # 33
Which statement accurately describes requisition sourcing?

  • A. All lines of a requisition must be sourced from the same supplier.
  • B. When manually sourcing a requisition, you cannot change the supplier.
  • C. The requisition sourcing console can be used to manage requisitions.
  • D. All items on a requisition must be sourced at the same time.

Answer: C

Explanation:
Requisition sourcing is the process by which buyers review approved requisition lines and determine how they will be fulfilled, including assigning suppliers and pricing, and Workday provides tools to help buyers manage this workload efficiently across many requisitions and lines. The Official Workday Pro Procure-to- Pay Guide confirms that the requisition sourcing console can be used to manage requisitions, giving buyers a centralized view to filter, review, and act on requisition lines awaiting sourcing. Option A is incorrect because there is no requirement that all lines of a requisition be sourced from the same supplier; different lines can be sourced to different suppliers based on what each line requires. Option C is incorrect because items on a requisition do not have to be sourced all at the same time; sourcing can occur at different times for different lines. Option D is incorrect because, during manual sourcing, the buyer can in fact change or assign the supplier for a requisition line, which is a core part of the sourcing action rather than a restriction.


NEW QUESTION # 34
You received all the items from your request.
To create a receipt, what must the status of your purchase order be?

  • A. Closed
  • B. In Progress
  • C. Issued
  • D. Approved

Answer: C

Explanation:
Purchase orders move through a defined lifecycle of statuses, and only certain statuses indicate that the order has been finalized and communicated to the supplier, making it eligible to have goods or services recorded against it as received. The Official Workday Pro Procure-to-Pay Guide specifies that a purchase order must be in Issued status before a receipt can be created against it, since Issued confirms the order has completed its approval process and has been sent to the supplier, who is now expected to fulfill it. Option A is incorrect because a Closed purchase order has already completed its lifecycle, whether through full receiving and invoicing or manual closure, and is not eligible for new receiving activity. Option B is incorrect because In Progress indicates the purchase order is still moving through its internal approval business process and has not yet been finalized or sent to the supplier. Option D is incorrect because Approved is an internal status that precedes issuance; the order must still be issued before receiving can occur.


NEW QUESTION # 35
The APR spend rule for general ledger 7200 Marketing has these attributes:
* Dimension: Spend Category
* Values: Meetings, marketing, and travel
* Dimension: Cost Center
* Values: 37000 Learning and 24000 Outsourcing
What supplier invoice will post to 7200 Marketing?

  • A. Supplier invoice with worktags of Office Supplies and 37000 Learning
  • B. Supplier invoice with worktags of Travel and US - Central Region
  • C. Supplier invoice with worktags of Travel and 24000 Outsourcing
  • D. Supplier invoice with cost center 24000 Outsourcing

Answer: C

Explanation:
Account Posting Rules, such as the APR spend rule described, define the conditions under which a transaction posts to a specific general ledger account by specifying allowed values across multiple worktag dimensions, in this case Spend Category and Cost Center. For a supplier invoice to post to 7200 Marketing, it must satisfy all specified dimensions: its spend category worktag must fall within Meetings, Marketing, or Travel, and its cost center worktag must be either 37000 Learning or 24000 Outsourcing. The Official Workday Pro Procure- to-Pay Guide confirms that all listed dimension conditions must be satisfied for the rule to apply. Option C correctly pairs Travel, an allowed spend category, with 24000 Outsourcing, an allowed cost center, satisfying both conditions. Option A is incorrect because no spend category is identified, leaving the spend category condition unverified. Option B is incorrect because Office Supplies is not within the allowed spend category values. Option D is incorrect because US-Central Region is not one of the allowed cost center values, failing the cost center condition.


NEW QUESTION # 36
A company requires buyers to consolidate several requisitions into a single purchase order for a supplier.
To configure this requirement, where must you navigate?

  • A. Edit Order-From Connections
  • B. Maintain Procurement Conditional Rules
  • C. Edit Company Procurement Options
  • D. Maintain Procurement Reasons

Answer: C

Explanation:
Many organizations prefer to reduce the number of purchase orders sent to a single supplier by allowing buyers to combine multiple approved requisitions destined for the same supplier into one consolidated purchase order during the sourcing process. The Official Workday Pro Procure-to-Pay Guide identifies Edit Company Procurement Options as the configuration task containing the setting that enables this consolidation behavior, allowing buyers to combine requisition lines for the same supplier into a single PO when sourcing.
Option A is incorrect because Maintain Procurement Reasons manages reason codes used for actions such as cancellations or returns, and has no connection to PO consolidation. Option B is incorrect because Maintain Procurement Conditional Rules, to the extent such configuration exists, addresses conditional business logic rather than the consolidation of requisitions during sourcing. Option C is incorrect because Edit Order-From Connections configures which supplier and location combinations are valid sourcing relationships, not whether multiple requisitions can be merged into a single purchase order.


NEW QUESTION # 37
How does Workday determine which ledger account to use in the account posting rules?

  • A. It chooses what the end user selects.
  • B. It chooses a rule after reading through all the rules.
  • C. It chooses the most specific rule.
  • D. It chooses the first rule that meets all the conditions.

Answer: C

Explanation:
Account Posting Rules determine which general ledger account a transaction posts to based on the combination of worktags present, such as company, spend category, and cost center. Because a tenant can have multiple posting rules with varying numbers of conditions, Workday needs a deterministic method for choosing among them when more than one rule's conditions are satisfied by a transaction. The Official Workday Pro Procure-to-Pay Guide confirms that Workday selects the most specific applicable rule, meaning the rule with the greatest number of matching conditions or dimensions, ensuring that granular, targeted rules take precedence over broad, general ones. Option A is incorrect because ledger account determination in posting rules is automated and is not a manual selection made by the end user during transaction entry. Option B is incorrect because Workday does not simply read through all rules without a hierarchy; specificity, not sequence of review, governs selection. Option D is incorrect because relying on the first rule that merely meets conditions, regardless of how specific it is, could cause a broad rule to incorrectly override a more targeted one.


NEW QUESTION # 38
A new employee in the Accounts Payable department needs to be able to create supplier invoices.
Which security group will you assign?

  • A. Security Administrator
  • B. Accounts Receivable Specialist
  • C. Finance Administrator
  • D. Accounts Payable Data Entry Specialist

Answer: D

Explanation:
Workday delivers a set of predefined security groups aligned to common roles within the procure-to-pay process, each granting the specific domain permissions needed for that role's typical responsibilities, such as entering supplier invoices for accounts payable staff. The Official Workday Pro Procure-to-Pay Guide identifies Accounts Payable Data Entry Specialist as the security group designed to grant the permissions necessary to create supplier invoices, making it the appropriate assignment for a new employee in the Accounts Payable department with this responsibility. Option B is incorrect because Security Administrator grants broad access to configure security groups, roles, and policies across the tenant, which is unrelated to and far exceeds the access needed for routine invoice entry. Option C is incorrect because Finance Administrator typically provides broad configuration access across financial setup areas, again exceeding what a data-entry-focused new hire requires. Option D is incorrect because Accounts Receivable Specialist relates to the order-to-cash and customer billing side of the ledger, the opposite function from accounts payable supplier invoicing.


NEW QUESTION # 39
What type of procurement do you use to track spend for physical items?

  • A. Project-based Services
  • B. Service
  • C. Matching
  • D. Goods

Answer: D

Explanation:
Workday categorizes procurement at a high level into Goods and Services to support different transactional behaviors, particularly around receiving, since physical items typically require quantity-based confirmation of delivery while services do not. The Official Workday Pro Procure-to-Pay Guide identifies Goods as the procurement type used to track spend for physical, tangible items, enabling the standard requisition, purchase order, and receiving workflow appropriate for inventory-type purchases. Option A is incorrect because Project-based Services is used for tracking billable, project-related service work rather than physical items, and follows a different tracking model tied to project worktags. Option C is incorrect because Matching is not a procurement type at all; it refers to the three-way matching process used to reconcile supplier invoices against purchase orders and receipts. Option D is incorrect because the general Service procurement type covers intangible deliverables such as labor or consulting, which typically do not involve the physical receipt of goods in the same manner as items procured under the Goods type.


NEW QUESTION # 40
A financial analyst needs to upload a large number of journal entries into Workday. They created an EIB to import this information, but a necessary column is missing from the template.
What action do they take to ensure the journals post correctly?

  • A. Launch the integration.
  • B. Edit the template in Excel.
  • C. Create an EIB.
  • D. Edit the template in Workday.

Answer: B

Explanation:
Enterprise Interface Builder, or EIB, integrations commonly use a spreadsheet template, generated by Workday, that defines the columns and structure expected when bulk-loading data such as journal entries. If the analyst discovers that a needed column, representing a required field for the journals, is missing from this template, the underlying spreadsheet itself must be updated before the data can be loaded successfully. The Official Workday Pro Procure-to-Pay Guide indicates that the appropriate action is to edit the template in Excel, adding the missing column with the correct header so the data aligns with the EIB's expected input format and field mapping. Option B is incorrect because an EIB has already been created; the issue is with the existing template's structure, not the absence of an EIB. Option C is incorrect because launching the integration with an incomplete template would simply load the data without the missing field, failing to resolve the underlying issue. Option D is incorrect because the spreadsheet template used for EIB data entry is maintained and edited in Excel, not directly within Workday.


NEW QUESTION # 41
You are an implemented and your customer requires multiple organization units of the same type. These organizations will have a budget and they will group financial transactions and workers. Certain employees will need to approve transactions and run reports about these organizations.
What delivered organization type should you create?

  • A. Department
  • B. Cost Center
  • C. Supervisory Organization
  • D. Allocation Pool

Answer: B

Explanation:
Cost Centers are a delivered Workday organization type designed to group both financial transactions and workers for budgeting, management, and reporting purposes, and they support assigned managers who can approve transactions and run reports specific to their organization. The Official Workday Pro Procure-to-Pay Guide identifies Cost Center as the appropriate organization type when an implementation requires multiple units of the same type that have budgets, group financial transactions and workers together, and allow designated employees to approve transactions and report on the organization, all of which are defining characteristics of Cost Centers. Option A is incorrect because Allocation Pools are used to redistribute costs across other organizations or worktags after transactions have posted, rather than serving as a primary grouping for workers, budgets, and approvals. Option C is incorrect because Supervisory Organizations primarily structure staffing and reporting relationships within Human Capital Management rather than serving as the financial budget and transaction grouping described. Option D is incorrect because Department is not the delivered organization type that natively supports budgets, transaction grouping, and approval routing in the way Cost Center does.


NEW QUESTION # 42
......

Accurate & Verified Answers As Seen in the Real Exam here: https://torrentpdf.vceengine.com/Workday-Procure-to-Pay-vce-test-engine.html