Microsoft MB-310日本語 Q&A - in .pdf

  • Exam Code: MB-310日本語
  • Exam Name: Microsoft Dynamics 365 Finance Functional Consultant (MB-310日本語版)
  • Updated: Aug 18, 2026
  • Q & A: 349 Questions and Answers
  • Printable Microsoft MB-310日本語 PDF Format. It is an electronic file format regardless of the operating system platform.
  • PDF Price: $69.99
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Microsoft MB-310日本語 Q&A - Testing Engine

  • Exam Code: MB-310日本語
  • Exam Name: Microsoft Dynamics 365 Finance Functional Consultant (MB-310日本語版)
  • Updated: Aug 18, 2026
  • Q & A: 349 Questions and Answers
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About Microsoft Dynamics 365 Finance Functional Consultant (MB-310日本語版) - MB-310日本語 Exam

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Topics Covered in Official Text

Designed to test the candidate’s first-hand knowledge of cloud basics as well as make you better functional analysts, this test has been created to demonstrate that you are an expert analyst who's capable of setting up and configuring financial management and relative tools for the improvement of efficiency in various industries. In particular, the topics to be covered in this test are:

  • Monitoring fixed assets & budgeting.
  • Putting into operation credit, varied accounts receivable, collections, and recognition for the revenue;
  • How to manage and execute accounts that are payable in addition to expenses;
  • The configuration & setup of finance management;

The Microsoft MB-310: Microsoft Dynamics 365 Finance exam is one of the major requirements for earning the Microsoft Certified: Dynamics 365 Finance Functional Consultant Associate certification. It is developed for the functional consultants who are involved in examining the business requirements and interpreting those elements into the business processes that can be fully realized.

The target audience for this test is those individuals who have the fundamental knowledge of financial operations and accounting principles of business, field service, and customer service, and who are able to apply the chain management and retail concepts. The candidates need to have a thorough understanding of the basic accounting practices.

Reference: https://docs.microsoft.com/en-us/learn/certifications/exams/mb-310

About Related Certification

The Microsoft Certified: Dynamics 365 Finance Functional Consultant Associate is one of the related certifications for anyone seeking to climb up the organizational ladder. MB-300 & MB-310 tests and their accompanying certification equip you with knowledge of configuration and usage of functionality tools. Additionally, this validation is designed for all in the finance and supply chain industry looking to learn and understand the concept of operations, accounting principles, and practices. In all, getting the affiliated certificate arms candidates with in-depth knowledge of how to carry out the subsequent technical tasks:

  • How to control accounts, both receivable and payable;
  • How to manage, calculate, and fix assets;
  • How to efficiently manage and apply some of the common practices;
  • How to set up and configure financial management.

Nowadays, information technology is everywhere around us. The development of technology has a significant influence toward the society (Microsoft Dynamics 365 Finance Functional Consultant (MB-310日本語版) valid practice test). As the most potential industry, the industry has attracted many people. For example, there are many candidates attending the exam and fighting hard to be among the lucky ones to enter their desired companies. But what can you do to make yourself outstanding among the large crowd? Getting a Microsoft Dynamics 365 Finance Functional Consultant (MB-310日本語版) exam certification will help you a lot.

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Microsoft MB-310日本語 Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Implement and Manage Fixed Assets10-15%- Configure Fixed Assets
  • 1. Configure fixed asset books and value models
  • 2. Set up fixed asset depreciation methods and conventions
  • 3. Implement fixed asset acquisition, depreciation, and disposal
  • 4. Configure fixed asset parameters and groups
  • 5. Implement fixed asset tracking and reporting
Topic 2: Implement and Manage Accounts Payable and Receivable25-30%- Implement Accounts Receivable
  • 1. Configure and manage collection letters and interest
  • 2. Implement free text invoices and sales orders
  • 3. Set up customers, customer groups, and customer posting profiles
  • 4. Implement and process customer payments
  • 5. Configure accounts receivable parameters and payment terms
- Implement Accounts Payable
  • 1. Set up vendors, vendor groups, and vendor posting profiles
  • 2. Configure accounts payable parameters and payment terms
  • 3. Implement invoice and payment workflows
  • 4. Implement and process vendor payments
  • 5. Configure charges and multi-lined invoice scenarios
Topic 3: Configure and Implement Core Financial Functions20-25%- Configure cash flow management
  • 1. Implement petty cash and workflow for cash management
  • 2. Set up cash flow forecasts
  • 3. Configure bank management and bank accounts
- Implement and manage financial structures
  • 1. Configure chart of accounts and account structures
  • 2. Configure fiscal calendars, fiscal years, and periods
  • 3. Create and manage legal entities
  • 4. Implement financial dimensions and dimension sets
  • 5. Set up ledgers, currencies, and exchange rates
Topic 4: Implement and Manage General Ledger and Cost Accounting25-30%- Implement General Ledger
  • 1. Implement advanced ledger structures
  • 2. Configure and process financial consolidation
  • 3. Implement periodic processes and allocations
  • 4. Configure and manage intercompany accounting
  • 5. Configure and process journal entries
- Implement Cost Accounting
  • 1. Create cost control units and cost groups
  • 2. Implement cost allocations and cost behavior
  • 3. Configure cost accounting module
  • 4. Configure and process budget configurations

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