Microsoft Dynamics 365 Finance Functional Consultant (MB-310日本語版): MB-310 Exam
"Microsoft Dynamics 365 Finance Functional Consultant (MB-310日本語版)", also known as MB-310 exam, is a Microsoft Certification. With the complete collection of questions and answers, PrepPDF has assembled to take you through 349 Q&As to your MB-310 Exam preparation. In the MB-310 exam resources, you will cover every field and category in Microsoft Dynamics 365 Certification helping to ready you for your successful Microsoft Certification.
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- Exam Code: MB-310
- Exam Name: Microsoft Dynamics 365 Finance Functional Consultant (MB-310日本語版)
- Certification Provider: Microsoft
- Corresponding Certification: Microsoft Dynamics 365
- Updated: Aug 05, 2026
- No. of Questions: 349 Questions & Answers with Testing Engine
- Download Limit: Unlimited
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Overview of MB-310 Evaluation
Comprising over 40-60 questions, this test will last for 130. Unlike some of the other exams, candidates may encounter scenario-based, drag and drop, multiple-choice, and best answer questions. Only available in English, candidates will be required to pay a sum of $165 if they are to qualify for this validation. Additionally, candidates will have to score more than 700 points if they are to be deemed certified Microsoft Dynamics 365 functional consultants. This test has been created to monitor or examine your knowledge of basic cloud concepts like Azure including services like security, compliance, privacy, etc. Albeit no prerequisites for completing this exam, candidates must have basic knowledge of the various accounting principles as well as practices, if they are to duly qualify to take such a test.
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You can read the Microsoft MB-310 Certification Exam cost
- The cost of the Microsoft MB-310 Exam is $165.
The candidates for the Microsoft MB-310 exam must understand its content before attempting to pass it. It is recommended that they go through the official website for the updated details at the point of preparing for the test. The topics covered within the domain of the certification exam are highlighted below:
Defining and Configuring Financial Management (50-55%):
- Configure currencies & ledgers: the candidates should be able to construct fiscal years, periods, and calendars; configure ledgers; explain and configure the batch transfer rules; configure conversions and currencies for legal entities; configure the currency exchange rate providers; enter the currency exchange rates manually;
- Manage & implement journals: this subtopic covers the skills in explaining options for the implementation of the voucher numbers within journals; configuring journal names; setting up journal controls & posting limitation rules; explaining and configuring journal approvals; creating voucher templates; explaining use cases for periodic journals; setting up inter-company accounting; configuring and applying accrual schemes;
- Manage & implement bank and cash: this topic covers competence in creating and maintaining bank accounts and bank groups; explaining and configuring electronic payment options; configuring and processing bank reconciliations such as advanced bank reconciliations; configuring cash flow reports;
- Define & configure charts of accounts: this objective requires that the applicants demonstrate competence in defining and configuring charts of accounts & main accounts; explain the use cases for main accounts categories, balance control accounts, and ledger account aliases; configuring financial dimension & dimension sets; configuring legal entity overrides for main accounts and financial dimensions; creating and configuring account structures & advanced rules;
- Configure, collect, and report taxes: the learners need to show competence in configuring tax groups, settlement periods, jurisdiction, and tax codes; configuring tax ledger posting groups; preparing the periodic filings, such as year-end tax reporting.
- Perform periodic processes: this section requires competence in configuring closing schedule and financial period workspace; defining and demonstrating year-end processes and periodic closing processes; performing elimination processes and financial consolidation; configuring the allocation terms for main accounts; creating and processing ledge allocation policies; implementing the revaluation processes for foreign currency; creating and managing financial reports, including report definitions, row, and column;
- Implement cost management & cost accounting: the potential candidates should have the skills in explaining cost accounting terms and processes; configuring cost accounting procedures; creating cost accounting reports with the use of the Cost Accounting Report wizard; explaining and configuring indirect costs and costing sheet.
The area will also measure one’s skills in configuring cost groups and cost objects, implementing inventory costing versions, differentiating between the inventory costing methodologies, configuring posting profiles and item groups, as well as performing adjustment processes and inventory closing.
Reference: https://docs.microsoft.com/en-us/learn/certifications/exams/mb-310
How to Register For Exam MB-310: Microsoft Dynamics 365 Finance?
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Microsoft MB-310日本語 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Implement and Manage Accounts Payable and Receivable | 25-30% | - Implement Accounts Receivable
|
| Implement and Manage Fixed Assets | 10-15% | - Configure Fixed Assets
|
| Configure and Implement Core Financial Functions | 20-25% | - Configure cash flow management
|
| Implement and Manage General Ledger and Cost Accounting | 25-30% | - Implement Cost Accounting
|
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