Microsoft MB-800 Exam (page: 1)
Microsoft Dynamics 365 Business Central Functional Consultant
Updated on: 12-Feb-2026

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Case study
This is a case study. Case studies are not timed separately. You can use as much exam time as you would like to complete each case. However, there may be additional case studies and sections on this exam. You must manage your time to ensure that you are able to complete all questions included on this exam in the time provided.

To answer the questions included in a case study, you will need to reference information that is provided in the case study. Case studies might contain exhibits and other resources that provide more information about the scenario that is described in the case study. Each question is independent of the other questions in this case study.

At the end of this case study, a review screen will appear. This screen allows you to review your answers and to make changes before you move to the next section of the exam. After you begin a new section, you cannot return to this section.

To start the case study
To display the first question in this case study, click the Next button. Use the buttons in the left pane to explore the content of the case study before you answer the questions. Clicking these buttons displays information such as business requirements, existing environment, and problem statements. If the case study has an All Information tab, note that the information displayed is identical to the information displayed on the subsequent tabs. When you are ready to answer a question, click the Question button to return to the question.

Background
Northwind Traders is an independent, family-owned business. The company distributes natural pet products in the Northwest region of the country/region. Products are purchased directly from manufacturers and distributed by using its own fleet of trucks.

When the company started, deliveries were within a three-hour radius of the warehouse. Due to regional growth, current deliveries require drivers to stay overnight on some routes. The company plans to open a second warehouse to expand the region and eliminate overnights for route drivers. The company also plans to hire a second group of employees to run operations in this new location. The finance and accounting teams will remain in the original location.

The company uses a third-party system for financials and order management. The finance department stated that the company’s fiscal year begins on July 1 and ends on June 30. The mm/dd/yyyy date format is used.

As part of the expansion, the owner plans to upgrade to an ERP system and use Business Central to fulfill the company requirements and manage growth.

Current environment
Orders
•Orders are emailed to customer service and manually keyed into the inventory system.

Pricing and discounts
•Customer pricing is determined by the customer market type. Customer market types are Retail, Veterinarian, and Breeder. Each customer is associated with only one market type.
•Vendors offer monthly promotions to customers by item, brand, or item category.
•Invoices should show each customer’s base price, the discount amount, and the net price.

Accounts payable
•The company wants to expand vendor payment options in the new system.

Requirement
Customers
•The sales team must be able to do the following:
oQuickly set up new customers with the proper settings based on customer type.
oIdentify customers by market type. Customer posting groups will be used to identify which market the customer belongs to.
•Base price is determined by the customer market type.
•The sales department should receive a warning when entering the order if a customer is over their credit limit.

Sales
•Customer discounts are offered for specific time frames by item, brand, or product category. Discounts should be added to sales lines automatically.
•Discounts must post to a unique general ledger (G/L) account.
•The business needs to be able to track revenue by location, market, and product category dimensions. Locations 100 and 200 will be set as default dimensions on the two warehouse locations. Food, treats, toys, and supplies are the required product categories, which will be set as default dimensions on the item cards. Each customer card will have a default market dimension.
•The sales manager wants to delete canceled orders and automatically archive them.

Warehouse
•Orders will be fulfilled from two possible warehouse locations.
•Product will be transferred between locations by using transfer orders.

Sales invoices
•Invoices will be posted after delivery.
•Invoices will be emailed to the customer.
•The sales department must be able to quickly correct posted invoices for the following scenarios:
oPosted invoices that have not been paid.
oPosted invoices that have been paid.
oPosted invoices created from sales orders.
oPosted invoices not created from sales orders.

Accounting
•The finance department requires that the company has 12 monthly accounting periods per fiscal year.
•Finance department users must be able to reconcile the accounts receivable (AR) subledger to the G/L account at month end.
•AR department users need the ability to settle and close invoices when customers take payment discounts after the payment discount date has passed. AR users should be allowed to accept or reject the payment tolerance.
•Accounts payable (AP) department users must be able to pay vendors by electronic funds transfer (EFT) and use a payment journal batch named EFT to process payments.
•When viewing G/L entries, the finance and accounting teams must be able to see debits and credits instead of a positive or negative amount.
•The company needs to be able to track expenses by department and location. The departments are sales, operations, and administration.
•AR must be able to correct cash application entries.

Issues
Payment application
•Customers may have several stores that are responsible for their own orders and payments.
•Occasionally, AR clerks mistakenly apply payments to the incorrect customer invoice.

Invoicing
•When items are delivered, customers refuse the items for reasons such as damaged or wrong item.
•After the invoices are posted, they must be corrected, which is time-consuming.

Warehouse
•The sales department and warehouse managers must have visibility into products that are in the process of being transferred between locations.

Accounts
•Customer accounts are difficult to view by market type.
•The finance team does not have the ability to report revenue by customer type.

Accounting
•AR users often find variances between the AR subledger and G/L account.
•Customers often take the payment discount after the payment discount date has passed, leaving open invoices for small amounts.
•The AP department is unable to pay vendors by EFT in the current system.
•Finance and accounting team members have trouble validating postings when they use only the amounts field on G/L entries.
•The finance department is unable to run financial reports by market. All revenue postings must reference a market.

HOTSPOT (Drag and Drop is not supported)
You need to configure retail store customer cards to track revenue by market.

Which configuration should you use? To answer, select the appropriate option in the answer area.

NOTE: Each correct selection is worth one point.

  1. See Explanation section for answer.

Answer(s): A

Explanation:




Case study
This is a case study. Case studies are not timed separately. You can use as much exam time as you would like to complete each case. However, there may be additional case studies and sections on this exam. You must manage your time to ensure that you are able to complete all questions included on this exam in the time provided.

To answer the questions included in a case study, you will need to reference information that is provided in the case study. Case studies might contain exhibits and other resources that provide more information about the scenario that is described in the case study. Each question is independent of the other questions in this case study.

At the end of this case study, a review screen will appear. This screen allows you to review your answers and to make changes before you move to the next section of the exam. After you begin a new section, you cannot return to this section.

To start the case study
To display the first question in this case study, click the Next button. Use the buttons in the left pane to explore the content of the case study before you answer the questions. Clicking these buttons displays information such as business requirements, existing environment, and problem statements. If the case study has an All Information tab, note that the information displayed is identical to the information displayed on the subsequent tabs. When you are ready to answer a question, click the Question button to return to the question.

Background
Northwind Traders is an independent, family-owned business. The company distributes natural pet products in the Northwest region of the country/region. Products are purchased directly from manufacturers and distributed by using its own fleet of trucks.

When the company started, deliveries were within a three-hour radius of the warehouse. Due to regional growth, current deliveries require drivers to stay overnight on some routes. The company plans to open a second warehouse to expand the region and eliminate overnights for route drivers. The company also plans to hire a second group of employees to run operations in this new location. The finance and accounting teams will remain in the original location.

The company uses a third-party system for financials and order management. The finance department stated that the company’s fiscal year begins on July 1 and ends on June 30. The mm/dd/yyyy date format is used.

As part of the expansion, the owner plans to upgrade to an ERP system and use Business Central to fulfill the company requirements and manage growth.

Current environment
Orders
•Orders are emailed to customer service and manually keyed into the inventory system.

Pricing and discounts
•Customer pricing is determined by the customer market type. Customer market types are Retail, Veterinarian, and Breeder. Each customer is associated with only one market type.
•Vendors offer monthly promotions to customers by item, brand, or item category.
•Invoices should show each customer’s base price, the discount amount, and the net price.

Accounts payable
•The company wants to expand vendor payment options in the new system.

Requirement
Customers
•The sales team must be able to do the following:
oQuickly set up new customers with the proper settings based on customer type.
oIdentify customers by market type. Customer posting groups will be used to identify which market the customer belongs to.
•Base price is determined by the customer market type.
•The sales department should receive a warning when entering the order if a customer is over their credit limit.

Sales
•Customer discounts are offered for specific time frames by item, brand, or product category. Discounts should be added to sales lines automatically.
•Discounts must post to a unique general ledger (G/L) account.
•The business needs to be able to track revenue by location, market, and product category dimensions. Locations 100 and 200 will be set as default dimensions on the two warehouse locations. Food, treats, toys, and supplies are the required product categories, which will be set as default dimensions on the item cards. Each customer card will have a default market dimension.
•The sales manager wants to delete canceled orders and automatically archive them.

Warehouse
•Orders will be fulfilled from two possible warehouse locations.
•Product will be transferred between locations by using transfer orders.

Sales invoices
•Invoices will be posted after delivery.
•Invoices will be emailed to the customer.
•The sales department must be able to quickly correct posted invoices for the following scenarios:
oPosted invoices that have not been paid.
oPosted invoices that have been paid.
oPosted invoices created from sales orders.
oPosted invoices not created from sales orders.

Accounting
•The finance department requires that the company has 12 monthly accounting periods per fiscal year.
•Finance department users must be able to reconcile the accounts receivable (AR) subledger to the G/L account at month end.
•AR department users need the ability to settle and close invoices when customers take payment discounts after the payment discount date has passed. AR users should be allowed to accept or reject the payment tolerance.
•Accounts payable (AP) department users must be able to pay vendors by electronic funds transfer (EFT) and use a payment journal batch named EFT to process payments.
•When viewing G/L entries, the finance and accounting teams must be able to see debits and credits instead of a positive or negative amount.
•The company needs to be able to track expenses by department and location. The departments are sales, operations, and administration.
•AR must be able to correct cash application entries.

Issues
Payment application
•Customers may have several stores that are responsible for their own orders and payments.
•Occasionally, AR clerks mistakenly apply payments to the incorrect customer invoice.

Invoicing
•When items are delivered, customers refuse the items for reasons such as damaged or wrong item.
•After the invoices are posted, they must be corrected, which is time-consuming.

Warehouse
•The sales department and warehouse managers must have visibility into products that are in the process of being transferred between locations.

Accounts
•Customer accounts are difficult to view by market type.
•The finance team does not have the ability to report revenue by customer type.

Accounting
•AR users often find variances between the AR subledger and G/L account.
•Customers often take the payment discount after the payment discount date has passed, leaving open invoices for small amounts.
•The AP department is unable to pay vendors by EFT in the current system.
•Finance and accounting team members have trouble validating postings when they use only the amounts field on G/L entries.
•The finance department is unable to run financial reports by market. All revenue postings must reference a market.

You need to resolve the issue reported by the AR users from the finance department.

What should you do?

  1. Switch Blocked on the Customer Card to Yes.
  2. Switch Direct Posting on the G/L Account Card to No.
  3. Switch Blocked on the G/L Account Card to Yes.
  4. Switch Direct Posting on the G/L Account Card to Yes.

Answer(s): B




Case study
This is a case study. Case studies are not timed separately. You can use as much exam time as you would like to complete each case. However, there may be additional case studies and sections on this exam. You must manage your time to ensure that you are able to complete all questions included on this exam in the time provided.

To answer the questions included in a case study, you will need to reference information that is provided in the case study. Case studies might contain exhibits and other resources that provide more information about the scenario that is described in the case study. Each question is independent of the other questions in this case study.

At the end of this case study, a review screen will appear. This screen allows you to review your answers and to make changes before you move to the next section of the exam. After you begin a new section, you cannot return to this section.

To start the case study
To display the first question in this case study, click the Next button. Use the buttons in the left pane to explore the content of the case study before you answer the questions. Clicking these buttons displays information such as business requirements, existing environment, and problem statements. If the case study has an All Information tab, note that the information displayed is identical to the information displayed on the subsequent tabs. When you are ready to answer a question, click the Question button to return to the question.

Background
Northwind Traders is an independent, family-owned business. The company distributes natural pet products in the Northwest region of the country/region. Products are purchased directly from manufacturers and distributed by using its own fleet of trucks.

When the company started, deliveries were within a three-hour radius of the warehouse. Due to regional growth, current deliveries require drivers to stay overnight on some routes. The company plans to open a second warehouse to expand the region and eliminate overnights for route drivers. The company also plans to hire a second group of employees to run operations in this new location. The finance and accounting teams will remain in the original location.

The company uses a third-party system for financials and order management. The finance department stated that the company’s fiscal year begins on July 1 and ends on June 30. The mm/dd/yyyy date format is used.

As part of the expansion, the owner plans to upgrade to an ERP system and use Business Central to fulfill the company requirements and manage growth.

Current environment
Orders
•Orders are emailed to customer service and manually keyed into the inventory system.

Pricing and discounts
•Customer pricing is determined by the customer market type. Customer market types are Retail, Veterinarian, and Breeder. Each customer is associated with only one market type.
•Vendors offer monthly promotions to customers by item, brand, or item category.
•Invoices should show each customer’s base price, the discount amount, and the net price.

Accounts payable
•The company wants to expand vendor payment options in the new system.

Requirement
Customers
•The sales team must be able to do the following:
oQuickly set up new customers with the proper settings based on customer type.
oIdentify customers by market type. Customer posting groups will be used to identify which market the customer belongs to.
•Base price is determined by the customer market type.
•The sales department should receive a warning when entering the order if a customer is over their credit limit.

Sales
•Customer discounts are offered for specific time frames by item, brand, or product category. Discounts should be added to sales lines automatically.
•Discounts must post to a unique general ledger (G/L) account.
•The business needs to be able to track revenue by location, market, and product category dimensions. Locations 100 and 200 will be set as default dimensions on the two warehouse locations. Food, treats, toys, and supplies are the required product categories, which will be set as default dimensions on the item cards. Each customer card will have a default market dimension.
•The sales manager wants to delete canceled orders and automatically archive them.

Warehouse
•Orders will be fulfilled from two possible warehouse locations.
•Product will be transferred between locations by using transfer orders.

Sales invoices
•Invoices will be posted after delivery.
•Invoices will be emailed to the customer.
•The sales department must be able to quickly correct posted invoices for the following scenarios:
oPosted invoices that have not been paid.
oPosted invoices that have been paid.
oPosted invoices created from sales orders.
oPosted invoices not created from sales orders.

Accounting
•The finance department requires that the company has 12 monthly accounting periods per fiscal year.
•Finance department users must be able to reconcile the accounts receivable (AR) subledger to the G/L account at month end.
•AR department users need the ability to settle and close invoices when customers take payment discounts after the payment discount date has passed. AR users should be allowed to accept or reject the payment tolerance.
•Accounts payable (AP) department users must be able to pay vendors by electronic funds transfer (EFT) and use a payment journal batch named EFT to process payments.
•When viewing G/L entries, the finance and accounting teams must be able to see debits and credits instead of a positive or negative amount.
•The company needs to be able to track expenses by department and location. The departments are sales, operations, and administration.
•AR must be able to correct cash application entries.

Issues
Payment application
•Customers may have several stores that are responsible for their own orders and payments.
•Occasionally, AR clerks mistakenly apply payments to the incorrect customer invoice.

Invoicing
•When items are delivered, customers refuse the items for reasons such as damaged or wrong item.
•After the invoices are posted, they must be corrected, which is time-consuming.

Warehouse
•The sales department and warehouse managers must have visibility into products that are in the process of being transferred between locations.

Accounts
•Customer accounts are difficult to view by market type.
•The finance team does not have the ability to report revenue by customer type.

Accounting
•AR users often find variances between the AR subledger and G/L account.
•Customers often take the payment discount after the payment discount date has passed, leaving open invoices for small amounts.
•The AP department is unable to pay vendors by EFT in the current system.
•Finance and accounting team members have trouble validating postings when they use only the amounts field on G/L entries.
•The finance department is unable to run financial reports by market. All revenue postings must reference a market.

You need to train the Accounts Receivable (AR) department how to correct customer payment application issues.

What are two possible ways to achieve this? Each correct answer presents a complete solution.

NOTE: Each correct selection is worth one point.

  1. Unapply entries from the customer ledger entries.
  2. Unapply entries from the detailed customer ledger entries.
  3. Unapply entries from the customer card.
  4. Apply entries from the Detailed Customer Ledger Entries page.

Answer(s): A,B




Case study
This is a case study. Case studies are not timed separately. You can use as much exam time as you would like to complete each case. However, there may be additional case studies and sections on this exam. You must manage your time to ensure that you are able to complete all questions included on this exam in the time provided.

To answer the questions included in a case study, you will need to reference information that is provided in the case study. Case studies might contain exhibits and other resources that provide more information about the scenario that is described in the case study. Each question is independent of the other questions in this case study.

At the end of this case study, a review screen will appear. This screen allows you to review your answers and to make changes before you move to the next section of the exam. After you begin a new section, you cannot return to this section.

To start the case study
To display the first question in this case study, click the Next button. Use the buttons in the left pane to explore the content of the case study before you answer the questions. Clicking these buttons displays information such as business requirements, existing environment, and problem statements. If the case study has an All Information tab, note that the information displayed is identical to the information displayed on the subsequent tabs. When you are ready to answer a question, click the Question button to return to the question.

Background
Northwind Traders is an independent, family-owned business. The company distributes natural pet products in the Northwest region of the country/region. Products are purchased directly from manufacturers and distributed by using its own fleet of trucks.

When the company started, deliveries were within a three-hour radius of the warehouse. Due to regional growth, current deliveries require drivers to stay overnight on some routes. The company plans to open a second warehouse to expand the region and eliminate overnights for route drivers. The company also plans to hire a second group of employees to run operations in this new location. The finance and accounting teams will remain in the original location.

The company uses a third-party system for financials and order management. The finance department stated that the company’s fiscal year begins on July 1 and ends on June 30. The mm/dd/yyyy date format is used.

As part of the expansion, the owner plans to upgrade to an ERP system and use Business Central to fulfill the company requirements and manage growth.

Current environment
Orders
•Orders are emailed to customer service and manually keyed into the inventory system.

Pricing and discounts
•Customer pricing is determined by the customer market type. Customer market types are Retail, Veterinarian, and Breeder. Each customer is associated with only one market type.
•Vendors offer monthly promotions to customers by item, brand, or item category.
•Invoices should show each customer’s base price, the discount amount, and the net price.

Accounts payable
•The company wants to expand vendor payment options in the new system.

Requirement
Customers
•The sales team must be able to do the following:
oQuickly set up new customers with the proper settings based on customer type.
oIdentify customers by market type. Customer posting groups will be used to identify which market the customer belongs to.
•Base price is determined by the customer market type.
•The sales department should receive a warning when entering the order if a customer is over their credit limit.

Sales
•Customer discounts are offered for specific time frames by item, brand, or product category. Discounts should be added to sales lines automatically.
•Discounts must post to a unique general ledger (G/L) account.
•The business needs to be able to track revenue by location, market, and product category dimensions. Locations 100 and 200 will be set as default dimensions on the two warehouse locations. Food, treats, toys, and supplies are the required product categories, which will be set as default dimensions on the item cards. Each customer card will have a default market dimension.
•The sales manager wants to delete canceled orders and automatically archive them.

Warehouse
•Orders will be fulfilled from two possible warehouse locations.
•Product will be transferred between locations by using transfer orders.

Sales invoices
•Invoices will be posted after delivery.
•Invoices will be emailed to the customer.
•The sales department must be able to quickly correct posted invoices for the following scenarios:
oPosted invoices that have not been paid.
oPosted invoices that have been paid.
oPosted invoices created from sales orders.
oPosted invoices not created from sales orders.

Accounting
•The finance department requires that the company has 12 monthly accounting periods per fiscal year.
•Finance department users must be able to reconcile the accounts receivable (AR) subledger to the G/L account at month end.
•AR department users need the ability to settle and close invoices when customers take payment discounts after the payment discount date has passed. AR users should be allowed to accept or reject the payment tolerance.
•Accounts payable (AP) department users must be able to pay vendors by electronic funds transfer (EFT) and use a payment journal batch named EFT to process payments.
•When viewing G/L entries, the finance and accounting teams must be able to see debits and credits instead of a positive or negative amount.
•The company needs to be able to track expenses by department and location. The departments are sales, operations, and administration.
•AR must be able to correct cash application entries.

Issues
Payment application
•Customers may have several stores that are responsible for their own orders and payments.
•Occasionally, AR clerks mistakenly apply payments to the incorrect customer invoice.

Invoicing
•When items are delivered, customers refuse the items for reasons such as damaged or wrong item.
•After the invoices are posted, they must be corrected, which is time-consuming.

Warehouse
•The sales department and warehouse managers must have visibility into products that are in the process of being transferred between locations.

Accounts
•Customer accounts are difficult to view by market type.
•The finance team does not have the ability to report revenue by customer type.

Accounting
•AR users often find variances between the AR subledger and G/L account.
•Customers often take the payment discount after the payment discount date has passed, leaving open invoices for small amounts.
•The AP department is unable to pay vendors by EFT in the current system.
•Finance and accounting team members have trouble validating postings when they use only the amounts field on G/L entries.
•The finance department is unable to run financial reports by market. All revenue postings must reference a market.

You need to configure Business Central to display G/L entries as required by the accounting team.

Which configuration should you use?

  1. Show Amounts
  2. Check G/L Account Usage
  3. G/L Account Card
  4. Debit/Credit

Answer(s): D




Case study
This is a case study. Case studies are not timed separately. You can use as much exam time as you would like to complete each case. However, there may be additional case studies and sections on this exam. You must manage your time to ensure that you are able to complete all questions included on this exam in the time provided.

To answer the questions included in a case study, you will need to reference information that is provided in the case study. Case studies might contain exhibits and other resources that provide more information about the scenario that is described in the case study. Each question is independent of the other questions in this case study.

At the end of this case study, a review screen will appear. This screen allows you to review your answers and to make changes before you move to the next section of the exam. After you begin a new section, you cannot return to this section.

To start the case study
To display the first question in this case study, click the Next button. Use the buttons in the left pane to explore the content of the case study before you answer the questions. Clicking these buttons displays information such as business requirements, existing environment, and problem statements. If the case study has an All Information tab, note that the information displayed is identical to the information displayed on the subsequent tabs. When you are ready to answer a question, click the Question button to return to the question.

Background
Northwind Traders is an independent, family-owned business. The company distributes natural pet products in the Northwest region of the country/region. Products are purchased directly from manufacturers and distributed by using its own fleet of trucks.

When the company started, deliveries were within a three-hour radius of the warehouse. Due to regional growth, current deliveries require drivers to stay overnight on some routes. The company plans to open a second warehouse to expand the region and eliminate overnights for route drivers. The company also plans to hire a second group of employees to run operations in this new location. The finance and accounting teams will remain in the original location.

The company uses a third-party system for financials and order management. The finance department stated that the company’s fiscal year begins on July 1 and ends on June 30. The mm/dd/yyyy date format is used.

As part of the expansion, the owner plans to upgrade to an ERP system and use Business Central to fulfill the company requirements and manage growth.

Current environment
Orders
•Orders are emailed to customer service and manually keyed into the inventory system.

Pricing and discounts
•Customer pricing is determined by the customer market type. Customer market types are Retail, Veterinarian, and Breeder. Each customer is associated with only one market type.
•Vendors offer monthly promotions to customers by item, brand, or item category.
•Invoices should show each customer’s base price, the discount amount, and the net price.

Accounts payable
•The company wants to expand vendor payment options in the new system.

Requirement
Customers
•The sales team must be able to do the following:
oQuickly set up new customers with the proper settings based on customer type.
oIdentify customers by market type. Customer posting groups will be used to identify which market the customer belongs to.
•Base price is determined by the customer market type.
•The sales department should receive a warning when entering the order if a customer is over their credit limit.

Sales
•Customer discounts are offered for specific time frames by item, brand, or product category. Discounts should be added to sales lines automatically.
•Discounts must post to a unique general ledger (G/L) account.
•The business needs to be able to track revenue by location, market, and product category dimensions. Locations 100 and 200 will be set as default dimensions on the two warehouse locations. Food, treats, toys, and supplies are the required product categories, which will be set as default dimensions on the item cards. Each customer card will have a default market dimension.
•The sales manager wants to delete canceled orders and automatically archive them.

Warehouse
•Orders will be fulfilled from two possible warehouse locations.
•Product will be transferred between locations by using transfer orders.

Sales invoices
•Invoices will be posted after delivery.
•Invoices will be emailed to the customer.
•The sales department must be able to quickly correct posted invoices for the following scenarios:
oPosted invoices that have not been paid.
oPosted invoices that have been paid.
oPosted invoices created from sales orders.
oPosted invoices not created from sales orders.

Accounting
•The finance department requires that the company has 12 monthly accounting periods per fiscal year.
•Finance department users must be able to reconcile the accounts receivable (AR) subledger to the G/L account at month end.
•AR department users need the ability to settle and close invoices when customers take payment discounts after the payment discount date has passed. AR users should be allowed to accept or reject the payment tolerance.
•Accounts payable (AP) department users must be able to pay vendors by electronic funds transfer (EFT) and use a payment journal batch named EFT to process payments.
•When viewing G/L entries, the finance and accounting teams must be able to see debits and credits instead of a positive or negative amount.
•The company needs to be able to track expenses by department and location. The departments are sales, operations, and administration.
•AR must be able to correct cash application entries.

Issues
Payment application
•Customers may have several stores that are responsible for their own orders and payments.
•Occasionally, AR clerks mistakenly apply payments to the incorrect customer invoice.

Invoicing
•When items are delivered, customers refuse the items for reasons such as damaged or wrong item.
•After the invoices are posted, they must be corrected, which is time-consuming.

Warehouse
•The sales department and warehouse managers must have visibility into products that are in the process of being transferred between locations.

Accounts
•Customer accounts are difficult to view by market type.
•The finance team does not have the ability to report revenue by customer type.

Accounting
•AR users often find variances between the AR subledger and G/L account.
•Customers often take the payment discount after the payment discount date has passed, leaving open invoices for small amounts.
•The AP department is unable to pay vendors by EFT in the current system.
•Finance and accounting team members have trouble validating postings when they use only the amounts field on G/L entries.
•The finance department is unable to run financial reports by market. All revenue postings must reference a market.

HOTSPOT (Drag and Drop is not supported)
You need to create accounting periods based on the requirements from the finance department.

Which values should you use for each configuration? To answer, select the appropriate option in the answer area.

NOTE: Each correct selection is worth one point.

  1. See Explanation section for answer.

Answer(s): A

Explanation:



Viewing Page 1 of 52



Share your comments for Microsoft MB-800 exam with other users:

Keny 6/23/2023 9:00:00 PM

thanks, very relevant
PERU


Muhammad Rawish Siddiqui 11/29/2023 12:14:00 PM

wrong answer. it is true not false.
SAUDI ARABIA


Josh 7/10/2023 1:54:00 PM

please i need the mo-100 questions
Anonymous


VINNY 6/2/2023 11:59:00 AM

very good use full
Anonymous


Andy 12/6/2023 5:56:00 AM

very valid questions
Anonymous


Mamo 8/12/2023 7:46:00 AM

will these question help me to clear pl-300 exam?
UNITED STATES


Marial Manyang 7/26/2023 10:13:00 AM

please provide me with these dumps questions. thanks
Anonymous


Amel Mhamdi 12/16/2022 10:10:00 AM

in the pdf downloaded is write google cloud database engineer i think that it isnt the correct exam
FRANCE


Angel 8/30/2023 10:58:00 PM

i think you have the answers wrong regarding question: "what are three core principles of web content accessibility guidelines (wcag)? answer: robust, operable, understandable
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SH 5/16/2023 1:43:00 PM

these questions are not valid , they dont come for the exam now
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sudhagar 9/6/2023 3:02:00 PM

question looks valid
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Van 11/24/2023 4:02:00 AM

good for practice
Anonymous


Divya 8/2/2023 6:54:00 AM

need more q&a to go ahead
Anonymous


Rakesh 10/6/2023 3:06:00 AM

question 59 - a newly-created role is not assigned to any user, nor granted to any other role. answer is b https://docs.snowflake.com/en/user-guide/security-access-control-overview
Anonymous


Nik 11/10/2023 4:57:00 AM

just passed my exam today. i saw all of these questions in my text today. so i can confirm this is a valid dump.
HONG KONG


Deep 6/12/2023 7:22:00 AM

needed dumps
INDIA


tumz 1/16/2024 10:30:00 AM

very helpful
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NRI 8/27/2023 10:05:00 AM

will post once the exam is finished
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kent 11/3/2023 10:45:00 AM

relevant questions
Anonymous


Qasim 6/11/2022 9:43:00 AM

just clear exam on 10/06/2202 dumps is valid all questions are came same in dumps only 2 new questions total 46 questions 1 case study with 5 question no lab/simulation in my exam please check the answers best of luck
Anonymous


Cath 10/10/2023 10:09:00 AM

q.112 - correct answer is c - the event registry is a module that provides event definitions. answer a - not correct as it is the definition of event log
VIET NAM


Shiji 10/15/2023 1:31:00 PM

good and useful.
INDIA


Ade 6/25/2023 1:14:00 PM

good questions
Anonymous


Praveen P 11/8/2023 5:18:00 AM

good content
UNITED STATES


Anastasiia 12/28/2023 9:06:00 AM

totally not correct answers. 21. you have one gcp account running in your default region and zone and another account running in a non-default region and zone. you want to start a new compute engine instance in these two google cloud platform accounts using the command line interface. what should you do? correct: create two configurations using gcloud config configurations create [name]. run gcloud config configurations activate [name] to switch between accounts when running the commands to start the compute engine instances.
Anonymous


Priyanka 7/24/2023 2:26:00 AM

kindly upload the dumps
Anonymous


Nabeel 7/25/2023 4:11:00 PM

still learning
Anonymous


gure 7/26/2023 5:10:00 PM

excellent way to learn
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ciken 8/24/2023 2:55:00 PM

help so much
Anonymous


Biswa 11/20/2023 9:28:00 AM

understand sql col.
Anonymous


Saint Pierre 10/24/2023 6:21:00 AM

i would give 5 stars to this website as i studied for az-800 exam from here. it has all the relevant material available for preparation. i got 890/1000 on the test.
Anonymous


Rose 7/24/2023 2:16:00 PM

this is nice.
Anonymous


anon 10/15/2023 12:21:00 PM

q55- the ridac workflow can be modified using flow designer, correct answer is d not a
UNITED STATES


NanoTek3 6/13/2022 10:44:00 PM

by far this is the most accurate exam dumps i have ever purchased. all questions are in the exam. i saw almost 90% of the questions word by word.
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