Microsoft MB6-895 Exam Certification helps you to pass your exam in first attempt. You can easily prepare your MB6-895 exam with the help of dumps. Dumps4download.in is top rated website that is well know in IT students and all IT professionals. Dumps4download providing fully reliable MB6-895 study questions that are fully verified by IT professionals.
You can get MB6-895Dumps in PDF and MB6-895questions in exam engine format. We are fully sure that you will enjoy our Microsoft MB6-895study questions. you will definitely pass your exam with Microsoft practice questions MB6-895exam sample questions are easy to remember you can also download these Microsoft practice questions and get help in offline mode. Dumps4download is totally user friendly website you can get exam help and easily share your reviews about sample questions.
Get Latest Dumps Question Answer For Microsoft MB6-895 Exam - Dumps4download.in
You are implementing the budget control feature for Contoso, LTD You need to configure the system based on the requirements you have gathered. Which three settings can be defined for the Budget control configuration feature? Each correct answer presents a complete solution.
A. the various transactions that will have a budget check performed
B. the transactions to be included and excluded in the budget funds available
C. the budget planning stages and templates for uploading the budget
D. the main accounts and financial dimensions to be validated
E. the worldflow that is required when a budget is exceeded
You need ensure that you have the most current data to manage customer collections.What should you create first?
A. a customer aging snapshot
B. a customer pool
C. a customer account statement
D. a customer balance list
You want to set up centralized payments for all customers in all legal entities. You need to enable this in Microsoft Dynamic 365 for Finance and Operations. Which three configurations should you complete? Each correct answer presents part of the solution.
A. Set up an organization hierarchy for centralized payments.
B. Configure a vendor account in the relating companies for each customer.
C. Set up intercompany accounting
D. Map customer accounts across legal entities.
E. Set up fees associated with currency conversions.
Which two elements are required before you can create a budget plan in Microsoft Dynamic 365 for Finance and Operations? Each correct answer presents part of the solution.
A. budget planning process
B. budget cycle time span
C. budget plan preparer
D. budget plan priorities
You are exception of the Business Unit dimension, you do not want to roll any financial dimensions forward to the Retained Earnings main account for the new year. What should you do in the Fiscal Year-End Close form to achieve this goal?
A. Set "Transfer balance sheet dimensions “to "No"
B. Under "Transfer profit and loss dimensions, "set all dimensions to "Close single" except the Business Unit dimension.
C. Under "Transfer profit and loss dimensions, "set all dimensions to "Close none".
D. Under "Transfer profit and loss dimensions, "set all dimensions to "Close all" except the Business Unit dimension.
You are creating a budget register entry for rent. You created a line for account 671450 with cost center 10 for an amount of 8,900.00 USD. You need to duplicate the line for each month of the year. What should you do?
A. Use the allocate across period feature.
B. Use the allocate across dimensions feature.
C. Create a recurring entry.
D. Create a periodic journal.
You create and post a payment journal with a method of payment that is configured with
bridging account. The bank notifies you that the payment has cleared the account.
What should you do next?
A. Create a general journal, and use theBridged transactions feature to select and move the payment to a Bank account.
B. Create a general journal with an offset account for the correct bank, and use the Settlement feature to select the Bridged transactions to clear.
C. Create a general journal,adding lines to debit the bridging accounts and credit the bank account, then use the Bridged transaction feature to mark the journal lines for settlement.
D. Create a general journal, adding lines to debit the bridging account and credit the bank account, then use the bank reconciliation feature to settle the Bridged transaction with the bank transaction.
Your company just purchased some highly advanced machines to be used in the manufacturing plant. Collectively, the equipment cost $5 million with a useful life of 10 years. At that time, they will be sold with an approximate salvage of $100,000. You must set up the depreciation profile for this equipment in Microsoft Dynamics 365 fir Finance and Operations. Which two books should you create in this depreciation profile? Each correct answer presents part of the solution.
A. one for each machine in the operations layer
B. one for the new equipment in the current layer
C. one for the new equipment in the tax layer
D. one for the manufacturing plant in the fixed assets layer
What is the purpose of the budget control feature in Microsoft Dynamics 365 for Finance and Operations?
A. to enforce that sufficient budget funds are available for planned or actual transactions
B. to consolidate multiple budget plans into a single parent budget
C. to set financial and operational goals
D. to analyze and update the planned budget for each budget cycle
You are responsible for budget and are currently creating a budget. You need to identify the steps that the budget plan will contain.
Which budget planning feature should you use to identify the steps?
A. budget planning stages
B. budget planning workflow stages
C. budget plan scenarios
D. budget plan priorities