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ATTENTION FOR EXAM MB3-701: PassLeader now is offering the latest and 100 percent pass ensure MB3-701 80q exam braindumps, we guarantee our MB3-701 80q exam questions are the newest, and you can pass MB3-701 exam easily and quickly. Visit the our site passleader.com and get the free exam vce and pdf dumps and FREE VCE PLAYER! Vendor: Microsoft QUESTION 16 A. The invoice must be posted. Answer: AB QUESTION 17 A. credit card Answer: ABD QUESTION 18 A. Vendor Class and then Posting Account Setup Answer: B QUESTION 19 A. You cannot void invoices for that vendor. Answer: B QUESTION 20 A. only invoices that are open and are posted Answer: A QUESTION 21 A. user-defined fields Answer: AB QUESTION 22 A. Archived Matched Transactions Answer: B http://www.passleader.com/mb3-701.html QUESTION 23 A. ICTHS Answer: D QUESTION 24 A. Break Down Allocation Answer: B QUESTION 25 A. You can post to all historical years. Answer: C QUESTION 26 A. Copy accounts to a new account range. Answer: AB QUESTION 27 A. Determines which account category can be assigned to the account. Answer: D QUESTION 28 A. Report Groups for each module Answer: B QUESTION 29 A. The account has a zero balance and has only open year transactions. Answer: D QUESTION 30 A. none Answer: AC
Exam Code: MB3-701
Exam Name: Microsoft Dynamics GP 2013 Financials
You need to void a Payables Management invoice. Which two are requirements to void the invoice? (Each correct answer presents part of the solution. Choose two.)
B. The invoice must be completely unapplied.
C. The invoice balance must be SO.00.
D. The invoice must be in history.
Which two payment methods can you enter in Payables Manual Payment Entry? (Each correct answer presents part of the solution. Choose three.)
B. prepayment
C. refund check
D. check
You need to determine the distribution accounts in Payables Transaction Entry. What is the default order?
B. Vendor Account Maintenance and then Posting Account Setup
C. Vendor Account Maintenance and then Vendor Class
D. General Ledger setup and then Vendor Account Maintenance
You place a vendor on hold. What is the result?
B. You cannot create a new payment to that vendor.
C. You cannot edit Vendor Maintenance.
D. You cannot post invoices to the vendor.
In Payables Transaction Entry, you can apply credit memos to which payables invoices?
B. only invoices that are in history
C. only invoices that have been saved
D. only invoices that are past due
You need to roll down information from the vendor-class level to vendor cards. Which two options can you enter at the class level? (Each correct answer presents part of the solution. Choose two.)
B. shipping method
C. send forms as email
D. status
You need to match Payables Management transactions to the corresponding General Ledger distribution transactions for a specific period. Which process should you use?
B. Reconcile to GL
C. Payables Year End Close
D. Reconcile Financial Information
You post an intercompany payables invoice for the current year. Which audit trail code is assigned to the transaction in the destination company?
B. GLTRX
C. PMTRX
D. ICTRX
You create a new batch in the General Ledger. The batch has a Frequency of Monthly. You need to set the number of times that the batch will post. Which option should you assign to the batch?
B. Recurring Posting
C. clear Recurring Amounts
D. Days to Increment
How is posting to historical years limited?
B. You cannot post to any historical year.
C. You can post to the most recent historical year.
D. You can post to the two most recent historical years.
Which two operations can you perform by using Mass Modify Chart of Accounts? (Each correct answer presents a complete solution. Choose two.)
B. Inactivate accounts.
C. Modify accounts to have new account numbers.
D. Combine multiple accounts into a single account.
In Account Maintenance, what is the purpose of Posting Type?
B. Determines when the account balance will print in brackets on a report.
C. Determines whether or not the balance in the account is a debit or a credit.
D. Determines which accounts are closed to retained earnings at the end of the fiscal year.
You need to print several reports from multiple modules in a single step. Which should you set up?
B. Combined Report Group
C. Report Options that are saved under My Reports
D. Custom Reports list for each module
Under which condition is it possible to delete a General Ledger (GL) account?
B. The account has a balance and has only open year transactions.
C. The account has a zero balance and has only historical year transactions.
D. The account has a zero balance and has no transactions.
Which two are valid types of Multidimensional Analysis (MDA)? (Each correct answer presents a complete solution. Choose two.)
B. variable
C. fixed
D. active
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