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Microsoft MB-310 exam is a valuable certification for professionals looking to demonstrate their expertise in Microsoft Dynamics 365 Finance. MB-310 exam covers essential finance and accounting topics and requires candidates to demonstrate their knowledge of Microsoft Dynamics 365 Finance modules. Passing the exam is a prerequisite for earning the Microsoft Certified: Dynamics 365 Finance Functional Consultant Associate certification, which can enhance a professional's career opportunities and earning potential.
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Microsoft MB-310 certification exam is designed for individuals who want to become a certified Microsoft Dynamics 365 Finance Functional Consultant. MB-310 exam is intended to test the candidate's knowledge and skills in various areas related to finance and accounting. Passing the MB-310 exam is a crucial step towards becoming a certified finance consultant and opens up various career opportunities in the field of finance.
Microsoft Dynamics 365 Finance Functional Consultant exam, also known as MB-310, is designed for professionals who are interested in becoming a Dynamics 365 Finance Functional Consultant. Microsoft Dynamics 365 Finance Functional Consultant certification exam evaluates the candidate's knowledge and skills related to financial management and accounting processes in Dynamics 365 Finance. MB-310 exam covers a wide range of topics, including configuring and using financial management in Dynamics 365 Finance, managing accounts payable and accounts receivable, and using financial reporting tools.
Reference: https://docs.microsoft.com/en-us/learn/certifications/exams/mb-310
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Microsoft MB-310 Exam Syllabus Topics:
| Section | Objectives |
| Topic 1: Manage cash and bank | - Bank account setup
- 1. Cash flow management
- 2. Bank reconciliation
|
| Topic 2: Configure and manage tax | - Tax setup and configuration
- 1. Sales tax setup
- 2. Tax calculation and reporting
|
| Topic 3: Configure and use financial management | - General ledger setup
- 1. Fiscal calendars and periods
- 2. Chart of accounts configuration
- 3. Financial dimensions setup
- Financial reporting
- 1. Budgeting and control
- 2. Financial statements configuration
|
| Topic 4: Manage fixed assets | - Fixed asset lifecycle
- 1. Acquisition and depreciation
- 2. Disposal and revaluation
|
| Topic 5: Manage accounts payable and receivable | - Accounts receivable processes
- 1. Invoicing and collections
- 2. Customer management
- Accounts payable processes
- 1. Vendor management
- 2. Invoice processing and payments
|