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Microsoft MB6-895日本語

MB6-895日本語

Exam Code: MB6-895J

Exam Name: Financial Management in Microsoft Dynamics 365 for Finance and Operations (MB6-895日本語版)

Updated: Sep 22, 2026

Q&A Number: 72 Q&As

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About Microsoft MB6-895日本語 Exam Questions and Answers

How much MB6-895 Exam Cost

The price of the MB6-895 exam is $165 USD.

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  • Becoming Microsoft Certified Professional means one thing you are worth more to the company and therefore more to yourself in the form of an upgraded pay package. On average a Microsoft Certified Professional member of staff is estimated to be worth 30% more to a company than their uncertified professionals.
  • After completion of Microsoft Certified Professional Certification candidates receive official confirmation from Microsoft that you are now fully certified in their chosen field. This can be now added to their CV, cover letters and job applications.
  • Candidates will get in-depth knowledge by completing the courses along with the access to revision materials for 6 months upon completion means they will have a wider skill set when it comes to the various technologies and systems than an uncertified professional. Certified Professional in this particular skill set is 74% more efficient when it comes to completing their tasks in a timely well-executed manner.

Reference: https://www.microsoft.com/en-us/learning/exam-mb6-895.aspx

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MB6-895日本語 Online Test Engine

Online MB6-895日本語 Test Engine supports Windows / Mac / Android / iOS, etc., because it is the software based on WEB browser.

How to book the MB6-895 Exam

These are following steps for registering the MB6-895 exam. Step 1: Visit to Microsoft Exam Registration Step 2: Signup/Login to MICROSOFT account Step 3: Search for MICROSOFT MB6-895 Certifications Exam Step 4: Select Date and Center of examination and confirm with payment value of $165

Financial Management in Microsoft Dynamics Exam Certification Details:

Sample QuestionsFinancial Management in Microsoft Dynamics Sample Questions
Exam CodeMB6-895
Books / Training81198AE: General Ledger in Microsoft Dynamics 365 for Finance and Operations, Enterprise edition
Number of Questions40-60
Duration150 mins
Exam NameMicrosoft Business Applications and build your professional career (MCSE) - Business Applications
Passing Score700 / 1000
Exam Price$165 (USD)
Schedule ExamPearson VUE

Microsoft MB6-895日本語 Exam Syllabus Topics:

SectionWeightObjectives
Periodic and Closing Procedures20-25%- Fiscal year-end close
  • 1. Year-end parameters configuration
  • 2. Closing sheet and balance carry-forward
- Period close management
  • 1. Month-end closing steps
  • 2. Period close workspace setup
- Consolidations and eliminations
  • 1. Consolidation setup
  • 2. Elimination rules processing
- Foreign currency revaluation
  • 1. Configure revaluation parameters
  • 2. Process and post revaluations
Set up and Use Budgeting Module20-25%- Budget configuration
  • 1. Budget control rules
  • 2. Budget types and parameters
- Budget register entries
  • 1. Transfers and allocations
  • 2. Budget control monitoring
- Budget planning
  • 1. Budget plan creation and modification
  • 2. Integration with Microsoft Excel
Set up and Configure Core Financial Modules25-30%- Accounts Receivable configuration
  • 1. Customer groups and posting profiles
  • 2. Payment schedules and collections
- General Ledger configuration
  • 1. Journal setup and parameters
  • 2. Intercompany accounting
  • 3. Financial dimensions and account structures
  • 4. Chart of accounts and main accounts
  • 5. Fiscal calendars and ledger setup
- Accounts Payable configuration
  • 1. Payment terms and methods
  • 2. Vendor groups and posting profiles
- Cash and Bank Management setup
  • 1. Bank accounts and transaction types
  • 2. Bank groups and check layouts
- Tax configuration
  • 1. Tax jurisdictions and settlement
  • 2. Sales tax codes and groups
Manage Daily Financial Operations25-30%- Accounts Payable processes
  • 1. Vendor invoices and payments
  • 2. Settlement and discount management
- Accounts Receivable processes
  • 1. Payment application and write-offs
  • 2. Customer invoices and collections
- General Ledger transactions
  • 1. Post and reverse journals
  • 2. Ledger allocations
- Cash and Bank Management transactions
  • 1. Deposit slips and payment processing
  • 2. Bank reconciliation

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