Microsoft MB-310 certification exam covers a wide range of topics related to financial management in Dynamics 365 Finance. Some of the key areas that the exam focuses on include configuring and using financial management functionality, managing financial transactions, managing financial reporting, and performing financial analysis. MB-310J exam also covers topics such as managing accounts payable and receivable, managing cash and bank management, and managing fixed assets.
Passing the MB-310 exam is a great achievement for professionals who want to advance their career in the field of finance and accounting. It demonstrates that the candidate has the necessary skills and knowledge to implement and configure Dynamics 365 Finance solutions, as well as the ability to collaborate with stakeholders and provide effective solutions to business problems. With the MB-310 certification, candidates can enhance their professional credibility and increase their marketability in the job market.
Microsoft MB-310 exam is intended for individuals who have a strong background in finance and accounting. MB-310J exam covers a wide range of topics including financial management, accounts payable and receivable, budgeting, and forecasting. It also covers topics such as supply chain management, inventory management, and project accounting. Candidates are required to have a deep understanding of these topics to pass the exam.
Reference: https://docs.microsoft.com/en-us/learn/certifications/exams/mb-310
Microsoft MB-310日本語 Exam Overview:
| Certification Vendor: | Microsoft |
|---|---|
| Exam Name: | Microsoft Dynamics 365 Finance Functional Consultant |
| Exam Number: | MB-310 |
| Available Languages: | Japanese, English |
| Certificate Validity Period: | Valid indefinitely; requires annual renewal via free online assessment |
| Related Certifications: | Microsoft Certified: Dynamics 365 Finance and Operations Apps Solution Architect Expert Microsoft Certified: Dynamics 365 Functional Consultant Associate |
| Exam Price: | $165 USD |
| Exam Duration: | 100 minutes |
| Passing Score: | 700 out of 1000 |
| Real Exam Qty: | 40–60 |
| Exam Format: | Scenario-based questions, Multiple choice, Interactive items |
| Recommended Training: | Official Instructor-Led Course Microsoft Learn Learning Paths |
| Exam Registration: | Microsoft Learn Registration Pearson VUE Scheduling |
| Sample Questions: | Microsoft MB-310日本語 Sample Questions |
| Exam Way: | Online proctored or onsite at Pearson VUE test centers |
| Pre Condition: | No mandatory prerequisites; recommended experience with accounting principles and Dynamics 365 Finance |
| Official Syllabus URL: | https://learn.microsoft.com/en-us/credentials/certifications/resources/study-guides/mb-310 |
Microsoft MB-310 certification exam is an excellent way for individuals to validate their knowledge and understanding of financial management concepts within Microsoft Dynamics 365 Finance. It is designed for individuals who want to specialize in financial management and want to demonstrate their expertise to potential employers. By passing MB-310J exam, candidates can increase their value in the job market and advance their careers in financial management.
Microsoft MB-310日本語 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Implement and manage accounts payable and expenses | 10–15% | - Configure expense management and travel workflows - Manage vendors and vendor transactions - Configure accounts payable parameters and profiles
|
| Implement accounts receivable, credit, collections, and subscription billing | 15–20% | - Configure credit management and limits - Manage customers and customer transactions - Implement subscription billing and revenue recognition - Set up collections processes and workflows - Configure accounts receivable parameters and profiles
|
| Manage fixed assets | 10–15% | - Perform fixed asset reporting and inquiries - Acquire, depreciate, and dispose of fixed assets - Configure fixed assets parameters and groups - Manage asset leasing and valuation |
| Implement financial management | 40–45% | - Manage general ledger journals and transactions - Implement financial closing processes - Configure fiscal calendars and periods - Design and configure chart of accounts
- Manage currencies and exchange rates
|
| Manage cash, bank, tax, and cost accounting | - Set up tax calculation and reporting - Implement cost accounting and cost management - Configure consolidation and elimination processes - Configure bank management and reconciliation | |
| Manage budgeting | 10–15% | - Configure budgeting parameters and dimensions - Perform budget forecasting and analysis - Allocate and control budgets - Create and revise budget plans |
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