產品介紹
考試代碼: MB7-839
考試名稱: NAV 2009 Core Setup and Finance
MB7-839 考試是 Microsoft 公司的 NAV 2009 Core Setup and Finance 認證考試官方代號,CramBible MB7-839由全球領先的IT認證考試中心授權,幫助考生一次順利取得通過MB7-839考試;
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總結:
1)基本上有6個步驟,您應該遵循自己的方式來獲得認證,即:
2)決定哪個認證適合您 - 獲取認證概述
3 瞭解具體的細節 - 查看具體認證要求的經驗
4)選擇考試夥伴 - 選擇具有10年歷史的CramBible,由資深IT工程師和IT認證專家編寫的PDF格式考試資料。
5)複習考試資料 - 認真地複習我們的學習指南。
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7)我們的的客戶都將得到90天的免費升級服務,保證了對考試題庫的完整覆蓋。
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Microsoft Microsoft Business Solutions MB7-839 Web Demo
This webdemo is just a demo data, only for reference and learning, there is no other purposes.
1. You work in an international company which is called Wiikigo. And
you're employed as the Developer for Microsoft Dynamics NAV. There are
two Application Method options on the Customer Card: Manual or Apply to
Oldest. When you post a payment to a customers account that is set up
with Apply to Oldest as the Application Method, what happens?
A. The payment is automatically applied to the oldest of the customers open entries
B. A page opens where the oldest entry is selected; the user is able to select a different entry
C. A page opens where the oldest entry is selected; the user is not able to select a different entry.
D. When the Auto Apply check box is selected in Sales Receivables
Setup, the payment is automatically applied to the oldest of the
customers open entries.
Answer: A
2.You work in an international company which is called Wikigo. And
you're employed as the Developer for Microsoft Dynamics NAV. You have
set up two dimensions: one for Department with values of Sales and
Administration, and then one for Region with values of East, West, and
Central. For customer 10000, you assigned the Region dimension with a
value of West and the Department dimension with a value of Sales; the
Value Posting rule is blank for both dimensions. For G/L account 6100,
the Department dimension is assigned a value of Administration and the
Value Posting rule is set to Same Code. In the Default Dimension
Priorities, the priority is set to 1, for the Source Code of GENJNL and
Table ID 18 (Customer). A user selects customer 10000 and then selects
G/L account 6100 as the balancing account on a single journal line.
When the user posts the entry, what happens?
A. The entry will not post
B. Region is West, Department is Sales
C. Region is blank, Department is Sales
D. Region is blank, Department is Administration
Answer: A
3. You work in an international company which is called Wiikigo. And
you're employed as the Developer for Microsoft Dynamics NAV. You
company receives a client and you??re appointed to assist the client.
The client set up multiple banks with various currencies, including one
for the local currency. Sales documents using the various currencies
were prepared and posted. The client is processing activity in the Cash
Receipt Journal and experiencing problems posting the journal. The
client wants to know the requirements for posting the Cash Receipt
Journal with multiple currencies. So what do you reply to the client?
(choose more than one)
A. You can only post entries using LCY when using a Bank Account with a blank Currency Code
B. You can post entries with any Currency Code including LCY when using a Bank Account with a blank Currency Code.
C. You can post entries with any Currency Code include LCY when using a Bank Account with a Currency Code assigned
D. You can only post lines with the same Currency Code as the bank when using a Bank Account with a Currency Code assigned
Answer: BD
4. You work in an international company which is called Wiikigo. And
you're employed as the Developer for Microsoft Dynamics NAV. Microsoft
Dynamics NAV has the functionality of reversing Customer Ledger
Entries. When you reverse Customer Ledger Entries, what restrictions
are enforced?
A. The Customer Ledger Entry must not be applied
B. The total amount of G/L Entries must equal zero
C. Bank Ledger Entries must be closed by reconciliation
D. Only entries with the Journal Batch Name filled in can be reversed
Answer: ABD
5. You work in an international company which is called Wiikigo. And
you're employed as the Developer for Microsoft Dynamics NAV. Accounting
Periods are set up to define the periods used by a company for posting
entries. In the options below, which is available for setting up
Accounting Periods? (choose more than one)
A. Accounting Periods can be set up manually
B. Accounting Periods can be set up automatically
C. Accounting Periods can be set up automatically when a year is closed.
D. Accounting Periods can be set up for 365 periods, each one day in length.
Answer: ABD
6. You work in an international company which is called Wiikigo. And
you're employed as the Developer for Microsoft Dynamics NAV. There is a
colleague named Jason in your company. He is printing the Dimensions -
Detail report. He is not clear about what the Include Dimensions field
can be used for and asks for your advice. So what do you reply to him?
A. The Include Dimensions field is used to preview dimension conflicts prior to running the report.
B. The Include Dimensions field is used to assign levels to the dimensions chosen to print on the report.
C. The Include Dimensions field is used to choose dimensions to include from the list of dimensions linked to the Analysis View.
D. The Include Dimensions field is used to choose the dimensions to
include from the list of all dimensions set up in Microsoft Dynamics
NAV.
Answer: BC
7. You work in an international company which is called Wiikigo. And
you're employed as the Developer for Microsoft Dynamics NAV. You
company receives a client and you??re appointed to assist the client.
At present the client intends to create budgets using Microsoft Office
Excel. They want you to an overview of the budget interface with
Microsoft Excel. So what do you reply to him?
A. Export a budget from Microsoft Dynamics NAV for formatting purposes before creating a budget in Microsoft Excel.
B. The exported budget displays in Microsoft Excel as a pivot table, providing users with a robust interface for data entry
C. Enter the exported file name and worksheet name in the Import Budget
from Excel batch job when importing a previously exported budget.
D. The exported budget always displays the lines as G/L accounts; the
columns are determined in the Export Budget to Excel batch job
Answer: ACD
8. You work in an international company which is called Wiikigo. And
you're employed as the Developer for Microsoft Dynamics NAV. According
to the requirement of your company, you have to create G/L Budgets. In
the options below, which method can you use to perform this? (choose
more than one)
A. You can copy from an existing budget.
B. You can import a budget in XML format.
C. You can enter each budget line manually.
D. You can import a budget from Microsoft Office Excel
Answer: ACD
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