This page was exported from Latest Exam Prep [ http://certify.vceprep.com ] Export date:Sat Sep 21 11:53:35 2024 / +0000 GMT ___________________________________________________ Title: Microsoft MB-500 Cert Guide PDF 100% Cover Real Exam Questions [Q92-Q111] --------------------------------------------------- Microsoft MB-500 Cert Guide PDF 100% Cover Real Exam Questions Pass MB-500 Exam - Real Questions and Answers Q92. You are creating a Dynamics 365 Finance and Operations report. You cannot query the data for the report directly.You must include parameters to specify data for the report.You need to create the report.What should you use? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point. Explanation:Box 1: Data contract classA data contract class defines the parameters for a report that is bound to a report data provider (RDP) class. You can specify one or more groups of report parameters, the order of the groups, and the order in which the report parameters appear in a print dialog box.Box 2: Report data provider classReport data provider class – processes business logic based on parameters and a query, and then returns the tables as a dataset for the report.Box 3: DataContractAttributeDataContractAttribute – This attribute is applied to an X++ class and specifies that the class can be used as a data contract (that it should be serialized).Box 4: DataMemberAttributeDataMemberAttribute – This attribute is applied to a parm (parameter) method on an X++ data contract class and specifies that the data member should be serialized.Box 5: SRSReportParameterAttributeYou set the SRSReportParameterAttribute attribute to the data contract you created for the RDP class.Reference:https://docs.microsoft.com/en-us/dynamicsax-2012/appuser-itpro/how-to-use-a-report-data-provider-class-in-a-reportQ93. The warehouse manager at Contoso, Ltd. wants to display a tile in the user interface that will show total RAFs per hour.You need to create a key performance indicator (KPI) that meets these requirements.What two components should you create? Each correct answer presents part of the solution.NOTE: Each correct selection is worth one point.  aggregate dimensions  data entity  aggregate measurements  TempDB table Explanationhttps://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/analytics/model-aggregate-data#model-a-kQ94. A company is implementing Dynamics 365 Finance. Vendors receive a risk rating that is determined by their on-time delivery performance as well as their credit rating.You need to implement the following risk rating functionality:* The risk rating must accompany the credit rating when the credit rating is used.* The risk rating must be able to be used in other areas of the solution to determine processing outcomes.* The risk rating must consist of the following values:1 = Good2 = Medium3 = Risky* The risk rating must be displayed in the Miscellaneous Details tab below the Credit Rating and Credit Limit fields in the Vendor form.What should you do? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point. Explanation:Graphical user interface, text, application, email Description automatically generatedBox 1: Create a new enum base data type.An enum is a list of literals.Box 2: Create a table extensionAfter base enums and EDTs are created, they are usually added to a table to enable data capture.Box 3: Use a field groupField and Field Groups is the most common data entry subpattern and uses a dynamic number of columns to present multiple fields or groups of fields.The group controls within this pattern can be used either to group fields under a label or to bind to a table field group.Reference:https://docs.microsoft.com/en-us/learn/modules/build-edt-enums-finance-operations/https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/user-interface/fields-field-groups-subpatterQ95. You are a Dynamics 365 Finance developer. You have the following Extended Data Types (EDTs):You plan to modify the properties of the EDTs by using an extension. You need to determine which operations can be performed. Which operation is possible?  Create art extension for Accountid and decrease the field size.  Create an extension for AccountBase and modify the Form Help property.  Create a derived EDT for Accountid and increase the field size.  Create a derived EOT for AccountBase and increase the field size. Q96. You need to create the new table for the vendor exclusion list.What should you do? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point. Reference:https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/data-entities/develop-composite-data-entitiesQ97. You are using the Metadata search tool in Visual Studio.You need to select the appropriate query string for various scenarios.Which query string should you use? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point. Explanationtype:table,method name:inserttype:form ccounthttps://learn.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/dev-tools/metadata-search-visual-studioQ98. You need to create the new table for the vendor exclusion list.What should you do? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point. Reference:https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/data-entities/develop-composite-data-entitiesTopic 1, World Wide ImportersOverviewThis is a case study Case studies are not timed separately. You can use as much exam time as you would like to complete each case. However, there may be additional case studies and sections on this exam. You must manage your time to ensure that you are able to complete all questions included on this exam in the time provided.To answer the questions included in a case study, you will need to reference information that is provided in the case study. Case studies might contain exhibits and other resources that provide more information about the scenario that is described in the case study. Each question is independent of the other questions in this case study.At the end of this case study, a review screen will appear. This screen allows you to review your answers and to make changes before you move to the next section of the exam. After you begin a new section, you cannot return to this section.To start the case studyTo display the first question in this case study, click the Next button. Use the buttons in the left pane to explore the content of the case study before you answer the questions. Clicking these buttons displays information such as business requirements, existing environment and problem statements. When you are ready to answer a question, click the Question button to return to the question.BackgroundWide World Importers sell office supplies, furniture, and fittings to their customers across the United States. The company has the following locations:* a retail store in Seattle* a warehouse in Seattle* a customer support and call center in Atlanta* a team of field workers that provide furniture installation services at customer sites Wide World Importers plans to implement Dynamics 365 Finance and Microsoft Azure cloud platform features.Current environmentRequirementsCustomers may place orders by email, phone, or by using the company’s website. The company authorizes and processes credit card transactions by using a web-based application. Customer, inventory, supplier, and other master and transactional data is stored in a legacy database.The company collects feedback from customers by phone or a form on the company’s website and maintains the data in a Microsoft Excel workbook.Wide World Importers runs on-premises applications to manage payroll and workers compensation. The company has a set of Microsoft Power Bl dashboards that present data from a reporting database.The company creates a Lifecycle Services (LCS) implementation project and completes Dynamics 365 Finance onboarding.The company maintains production, quality assurance (QA). development, user acceptance testing (UAT), and build environments.General* You must configure a cloud-based Dynamics 365 Finance development environment and enable code extensions that support updates.* You must configure version control and a Build environment.* You must migrate all legacy data to the new system.* You must implement best practices for X++ coding, the data model, caching, and security.* All new code must be unit tested in a development environment and then validated by the QA team before code is added to source control.Business processes* You must configure vendor trade agreements.* Products must be shipped directly from suppliers to customers depending on customer location to save indirect costs.* You must collect customer feedback on products shipped directly from vendors.* You must deploy code to a UAT environment for testing before deploying code to production.* You must validate all entries for the purchase order creation form.* You must develop a web portal that allows customers to browse products, place orders, and check order status. Product data for the web portal must be integrated as periodic batches.Business systems* You must install and configure a third-party solution for credit card processing within Dynamics 365 Finance. The third-party company will provide a deployable package.* The workers compensation application must be able to call an API to update worker compensation details in Dynamics 365 Finance.* You must develop a process to import payroll journals into the system.* You must configure the warehouse mobile device portal for warehouse operations.* You must install a third-party solution to support web portal integration. The solution is supplied as a source code model file.You must develop a new solution to maintain a Vendor exclusion list for each customer and item combination. The solution must meet the following requirements:* Isolate all new vendor exclusion codes as a new assembly by creating a table named Vend Exclusions.* Create an index for the table named Primaryldx that uses the following fields: CustAccount, Itemld, VendAccount.* Ensure that users can open the Vendor Exclusion list report from the customer master form. The list must display the customer account Item ID, and Vendor account fields.* Implement the Excel integration for the Vendor Exclusion List form.* Provide functionality to periodically export the Vendor exclusion list to prepare reports by using standard reporting capabilities of Dynamics 365 Unified Operations.* Develop necessary security permissions to view and maintain the new Vendor exclusion list functionality and reporting. Users with maintain rights will be able create, update, and delete the exclusion list. Permissions must be assigned to security roles to match company security model.* Maintain referential integrity with other tables.* Users must be presented with a warning message before a direct delivery purchase order is created for a vendor in exclusion list.* Sales managers must be alerted when a new exclusion record is added to the system.Security* You must implement the record level audit feature to identify the users who created the record.* Grant specific users rights to maintain the vendor exclusion list by using Excel.* You must implement validation to check whether a proposed direct delivery purchase order vendor is on the exclusion list for the customer and product combination.IssuesUser1 is not able to access many features in the system. You must provide User1 administrator rights.A sales manager suspects a data-related issue in the vendor exclusion list. User1 must identify the user who created the referenced exclusion records.Developed joins the company and does not have access to a development environment or source control.User2 reports performance issues when they generate direct delivery purchase orders after current updates are applied.User2 reports that they cannot access new functionality and reports.Q99. You have an enumeration named truckStatus that has the following statuses:* Empty* Loaded* CompletedYou have the following code:You need to add the following statuses to the enumeration: Quarantine, InTransit What should you do?  Add a new case statement in the model of the existing code,  Add a post handler to the method that checks the enumeration and logic for your new enumeration values using the enumeration value.  Add a post handler to the method that checks the enumeration and logic for your new enumeration values using the integer value of the enumeration.  Add a post handler to the method that checks the enumeration and logic for your new enumeration values using a range comparison for your new values. Q100. You need to configure models for the project.What are two possible ways to achieve the goal? Each correct answer presents a complete solution.NOTE: Each correct selection is worth one point.  Overlay the existing FinanceExt model and populate the solution definition.  Modify the DefaultModelForNewProject setting in the DefaultConfig.xml file and name the model FinanceExt.  Create a new model that extends the existing FinanceExt model.  Extend the existing FinanceExt model and populate the project model definition. https://www.google.com/amp/s/robscode.onl/d365-set-default-model-for-new-projects/amp/Topic 2, World Wide ImportersThis is a case study Case studies are not timed separately. You can use as much exam time as you would like to complete each case. However, there may be additional case studies and sections on this exam. You must manage your time to ensure that you are able to complete all questions included on this exam in the time provided.To answer the questions included in a case study, you will need to reference information that is provided in the case study. Case studies might contain exhibits and other resources that provide more information about the scenario that is described in the case study. Each question is independent of the other questions in this case study.At the end of this case study, a review screen will appear. This screen allows you to review your answers and to make changes before you move to the next section of the exam. After you begin a new section, you cannot return to this section.To start the case studyTo display the first question in this case study, click the Next button. Use the buttons in the left pane to explore the content of the case study before you answer the questions. Clicking these buttons displays information such as business requirements, existing environment and problem statements. When you are ready to answer a question, click the Question button to return to the question.BackgroundWide World Importers sell office supplies, furniture, and fittings to their customers across the United States.The company has the following locations:* a retail store in Seattle* a warehouse in Seattle* a customer support and call center in Atlanta* a team of field workers that provide furniture installation services at customer sites Wide World Importers plans to implement Dynamics 365 Finance and Microsoft Azure cloud platform features.Current environmentRequirementsCustomers may place orders by email, phone, or by using the company’s website. The company authorizes and processes credit card transactions by using a web-based application. Customer, inventory, supplier, and other master and transactional data is stored in a legacy database.The company collects feedback from customers by phone or a form on the company’s website and maintains the data in a Microsoft Excel workbook.Wide World Importers runs on-premises applications to manage payroll and workers compensation. The company has a set of Microsoft Power Bl dashboards that present data from a reporting database.The company creates a Lifecycle Services (LCS) implementation project and completes Dynamics 365 Finance onboarding.The company maintains production, quality assurance (QA). development, user acceptance testing (UAT), and build environments.General* You must configure a cloud-based Dynamics 365 Finance development environment and enable code extensions that support updates.* You must configure version control and a Build environment.* You must migrate all legacy data to the new system.* You must implement best practices for X++ coding, the data model, caching, and security.* All new code must be unit tested in a development environment and then validated by the QA team before code is added to source control.Business processes* You must configure vendor trade agreements.* Products must be shipped directly from suppliers to customers depending on customer location to save indirect costs.* You must collect customer feedback on products shipped directly from vendors.* You must deploy code to a UAT environment for testing before deploying code to production.* You must validate all entries for the purchase order creation form.* You must develop a web portal that allows customers to browse products, place orders, and check order status. Product data for the web portal must be integrated as periodic batches.Business systems* You must install and configure a third-party solution for credit card processing within Dynamics 365 Finance. The third-party company will provide a deployable package.* The workers compensation application must be able to call an API to update worker compensation details in Dynamics 365 Finance.* You must develop a process to import payroll journals into the system.* You must configure the warehouse mobile device portal for warehouse operations.* You must install a third-party solution to support web portal integration. The solution is supplied as a source code model file.Vendor exclusion listYou must develop a new solution to maintain a Vendor exclusion list for each customer and item combination.The solution must meet the following requirements:* Isolate all new vendor exclusion codes as a new assembly by creating a table named Vend Exclusions.* Create an index for the table named Primaryldx that uses the following fields: CustAccount, Itemld, VendAccount.* Ensure that users can open the Vendor Exclusion list report from the customer master form. The list must display the customer account Item ID, and Vendor account fields.* Implement the Excel integration for the Vendor Exclusion List form.* Provide functionality to periodically export the Vendor exclusion list to prepare reports by using standard reporting capabilities of Dynamics 365 Unified Operations.* Develop necessary security permissions to view and maintain the new Vendor exclusion list functionality and reporting. Users with maintain rights will be able create, update, and delete the exclusion list. Permissions must be assigned to security roles to match company security model.* Maintain referential integrity with other tables.* Users must be presented with a warning message before a direct delivery purchase order is created for a vendor in exclusion list.* Sales managers must be alerted when a new exclusion record is added to the system.Security* You must implement the record level audit feature to identify the users who created the record.* Grant specific users rights to maintain the vendor exclusion list by using Excel.* You must implement validation to check whether a proposed direct delivery purchase order vendor is on the exclusion list for the customer and product combination.IssuesUser1 is not able to access many features in the system. You must provide User1 administrator rights.A sales manager suspects a data-related issue in the vendor exclusion list. User1 must identify the user who created the referenced exclusion records.Developed joins the company and does not have access to a development environment or source control.User2 reports performance issues when they generate direct delivery purchase orders after current updates are applied.User2 reports that they cannot access new functionality and reports.Q101. You have a Dynamics 365 Finance and Operations development environment.You must add default filters to the fleet management form. You must view only sales that occur in the current sales period and where the Customer name field contains the next Wholesales.You need to configure filtering.What should you do? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point. Explanation:Q102. You are a Dynamics 365 Finance developer.You need to create a key performance indicator (KPI) that shows total sales by region.Which two objects should you create? Each correct answer presents part of the solution.NOTE: Each correct selection is worth one point.  dimension for region  dimension for total sales  aggregated view for total sales  measure for region  measure for total sales An aggregate measurement is a model that contains a collection of measures together with their corresponding dimensions. Measures are aggregate numbers, such as Total Sales or Number of Orders. Dimensions are slicers, such as Product, Vendor, or Customer, that help you analyze the measure. For example, the measure of Total Sales isn’t useful unless it can be sliced by Product, Region, and Customer.Reference:https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/analytics/analyticsQ103. You need to implement the integration for the Vendor Exclusion List form.What should you do? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point. ExplanationBox 1: Table extensionIsolate all new vendor exclusion codes as a new assembly by creating a table named VendExclusions.Implement the Excel integration for the Vendor Exclusion List form.The table extension object allows you to add additional fields or to change some properties on a table provided by the Dynamics 365 Business Central service. In this way, you can add data to the same table and treat it as a single table.Box 2: Unique keyCreate an index for the table named PrimaryIdx that uses the following fields: CustAccount, ItemId, VendAccount.Box 3: Build and synchronize the database.A project property lets you specify that the synchronize operation for the database should be performed every time that you build the project. This can be useful when you’re making changes to the table structure for an application. Each time that you build, you will know that the database is synchronized with the tables as they are defined in the project.Reference:https://docs.microsoft.com/en-us/dynamics365/business-central/dev-itpro/developer/devenv-table-ext-objecthttps://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/dev-tools/build-operations#synchronizing-Q104. You need to configure filtering for the Vendor Past Due Invoices form.Which two filtering types can you use? Each correct answer presents a complete solution.NOTE: Each correct selection is worth one point.  QuickFilter  Advanced Filter  Grid Column Filtering  Filter pane Scenario: You must create a batch job that runs on the last day of each month to update the current unpaid invoices with changes in the minimum invoice amount. The job must meet the following requirements:* Allow users to specify vendors to include in the job.* Accept the following parameters: Vendor, DueDate.* Be callable by an Action menu item.* Use SysOperation Framework for all batch jobs.Reference:https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/user-interface/filteringQ105. A company uses Dynamics 365 Supply Chain Management.You need to monitor system performance.Which tool should you use? To answer, drag the appropriate tools to the correct requirements. Each tool may be used once, more than once, or not at all. You may need to drag the split bar between panes or scroll to view content.NOTE: Each correct selection is worth one point. Reference:https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/lifecycle-services/monitoring-diagnosticshttps://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/lifecycle-services/performancetroubleshootingQ106. You are a Dynamics 365 Finance and Operations developer.Users are experiencing slower load times for the All Customers form.You need to update caching for CustTable to improve data retrieval times.How should you configure CacheLookup properties? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point. ExplanationBox 1: Entire tableIn Microsoft Dynamics AX, groups of records can be cached all at once with set-based caching. Set-based caching can be implemented in two ways:At design time, by setting the table’s CacheLookup property to EntireTable.In code, by using the RecordViewCache class.Box 2: Found* Record caching is enabled for a table when all the following statements are true:* The CacheLookup property on the table is enabled by setting it to one of the following values:* NotInTTS, Found, FoundAndEmpty.* The record buffer disableCache method has not been called with a parameter of true.Reference:https://docs.microsoft.com/en-us/dynamicsax-2012/developer/set-based-cachinghttps://docs.microsoft.com/en-us/dynamicsax-2012/developer/single-record-cachingQ107. You are a Dynamics 365 Finance developer.Users must be able to view a filtered customer list from within a workspace.You need to add the customer form to a workspace.Which four actions should you perform in sequence? To answer, move the appropriate actions from the list of actions to the answer area and arrange them on the correct order. Reference:https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/fin-ops/get-started/personalize-user-experienceQ108. HOTSPOTYou are a Dynamics 365 Finance developer.You launch the Performance Timer tool to troubleshoot performance issues with a business process.You need to view the results from the tool.What does the tool present? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point.Hot Area: Explanation:Box 1: The number of open forms and ..(per second)Forms – Forms will show how many forms are currently open, plus the rate at which they opened and closed (per second), and a set of counters, such as the total amount of created or closed forms.Box 2: The number of open forms and ..(per second)This should really be: Services Session provider – This is the total number of sessions created.Reference:https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/perf-test/performance-timerQ109. You need to configure models for the project.What are two possible ways to achieve the goal? Each correct answer presents a complete solution.NOTE: Each correct selection is worth one point.  Overlay the existing FinanceExt model and populate the solution definition.  Modify the DefaultModelForNewProject setting in the DefaultConfig.xml file and name the model FinanceExt.  Create a new model that extends the existing FinanceExt model.  Extend the existing FinanceExt model and populate the project model definition. Q110. You need to develop, test, and deploy the Vendor Exclusion list solution.What should you create? To answer, drag the appropriate objects to the correct actions. Each element may be used once, more than once, or not at all. You may need to drag the split bar between panes or scroll to view content.NOTE: Each correct selection is worth one point. ExplanationBox 1: packageAn AOT package is a deployment and compilation unit of one or more models that can be applied to an environment. It includes model metadata, binaries, reports and other associated resources. One or more AOT packages can be packaged into a deployable package, which is the vehicle used for deployment of code (and customizations) on demo, sandbox, and production environments.Box 2: New modelModel – You configure your model to refer to two other models. This enables your model to reference metadata and code elements that are in other packages.Box 3: projectProject – You create a project and then associate your project to your new model. You add elements to your project, which are also added to your model. Specifically, you add an extended data type (EDT). You also add a table that you populate with fields and a method.Box 4: deployable packageReference:https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/dev-tools/create-data-model-elementsQ111. You create the following cloud-based Dynamics 365 Finance environments:A developer creates code extensions in the Development environment. The developer checks the code changes into an Azure DevOps branch.You need to deploy the code changes to the Standard Acceptance Test environment.What should you do? To answer, select the appropriate options in the answer area.NOTE: Each correct selection is worth one point. Reference:https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/database/dbmovement-scenario-exportuat#back-up-to-the-asset-library Loading … 100% Free MB-500 Daily Practice Exam With 245 Questions: https://www.vceprep.com/MB-500-latest-vce-prep.html --------------------------------------------------- Images: https://certify.vceprep.com/wp-content/plugins/watu/loading.gif https://certify.vceprep.com/wp-content/plugins/watu/loading.gif --------------------------------------------------- --------------------------------------------------- Post date: 2024-07-05 09:39:59 Post date GMT: 2024-07-05 09:39:59 Post modified date: 2024-07-05 09:39:59 Post modified date GMT: 2024-07-05 09:39:59