Exam Name: Microsoft Dynamics 365 Finance Functional Consultant
Exam Code: MB-310
Related Certification(s): Microsoft Dynamics 365 Certification
Certification Provider: Microsoft
Actual Exam Duration: 120 Minutes
Number of MB-310 Practice Questions: 309 (updated: )
Topic 1: Configure financial management and core finance settings:
This section evaluates configuring financial modules, ledger setup, fiscal calendars, and financial parameters within Dynamics 365 Finance.
Topic 2: Manage accounts payable and vendor processes:
This section covers vendor setup, invoice processing, payments, and managing accounts payable transactions.
Topic 3: Manage accounts receivable and customer billing:
This section focuses on customer setup, invoicing, collections, and managing receivables processes.
Topic 4: Configure budgeting and financial planning processes:
This section evaluates budgeting configuration, budget control, and financial planning features.
Topic 5: Manage fixed assets and asset lifecycle:
This section covers acquisition, depreciation, disposal, and tracking of fixed assets.
Topic 6: Configure cash and bank management:
This section focuses on bank accounts, cash flow management, reconciliations, and payment processing.
Topic 7: Manage general ledger and financial reporting:
This section evaluates journal entries, financial statements, and reporting capabilities.
Topic 8: Configure expense management and cost control:
This section covers expense reporting, policies, and cost tracking across the organization.
Topic 9: Manage tax configurations and compliance:
This section focuses on tax setup, calculations, and regulatory compliance requirements.
Topic 10: Configure credit and collections management:
This section evaluates credit limits, collections strategies, and risk management.
Topic 11: Manage intercompany accounting and consolidations:
This section covers intercompany transactions, eliminations, and financial consolidation processes.
Topic 12: Configure financial dimensions and account structures:
This section focuses on defining financial dimensions, account structures, and reporting frameworks.
Topic 13: Implement financial integrations and data management:
This section evaluates integrating finance data with external systems and managing data imports/exports.
Topic 14: Monitor, analyze, and optimize financial performance:
This section covers financial insights, analytics, and performance optimization.