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Category: Microsoft

Published: February 14, 2017
Languages: English
Audiences: Data scientists
Technology: Azure Machine Learning, Bot Framework, Cognitive Services
Credit toward certification: MCSE

Skills measured
This exam measures your ability to accomplish the technical tasks listed below. View video tutorials about the variety of question types on Microsoft exams.

Please note that the questions may test on, but will not be limited to, the topics described in the bulleted text.

Do you have feedback about the relevance of the skills measured on this exam? Please send Microsoft your comments. All feedback will be reviewed and incorporated as appropriate while still maintaining the validity and reliability of the certification process. Note that Microsoft will not respond directly to your feedback. We appreciate your input in ensuring the quality of the Microsoft Certification program.

If you have concerns about specific questions on this exam, please submit an exam challenge.

If you have other questions or feedback about Microsoft Certification exams or about the certification program, registration, or promotions, please contact your Regional Service Center.

Prepare Data for Analysis in Azure Machine Learning and Export from Azure Machine Learning
Import and export data to and from Azure Machine Learning
Import and export data to and from Azure Blob storage, import and export data to and from Azure SQL Database, import and export data via Hive Queries, import data from a website, import data from on-premises SQL
Explore and summarize data
Create univariate summaries, create multivariate summaries, visualize univariate distributions, use existing Microsoft R or Python notebooks for custom summaries and custom visualizations, use zip archives to import external packages for R or Python
Cleanse data for Azure Machine Learning
Apply filters to limit a dataset to the desired rows, identify and address missing data, identify and address outliers, remove columns and rows of datasets
Perform feature engineering
Merge multiple datasets by rows or columns into a single dataset by columns, merge multiple datasets by rows or columns into a single dataset by rows, add columns that are combinations of other columns, manually select and construct features for model estimation, automatically select and construct features for model estimation, reduce dimensions of data through principal component analysis (PCA), manage variable metadata, select standardized variables based on planned analysis

Develop Machine Learning Models
Select an appropriate algorithm or method
Select an appropriate algorithm for predicting continuous label data, select an appropriate algorithm for supervised versus unsupervised scenarios, identify when to select R versus Python notebooks, identify an appropriate algorithm for grouping unlabeled data, identify an appropriate algorithm for classifying label data, select an appropriate ensemble
Initialize and train appropriate models
Tune hyperparameters manually; tune hyperparameters automatically; split data into training and testing datasets, including using routines for cross-validation; build an ensemble using the stacking method
Validate models
Score and evaluate models, select appropriate evaluation metrics for clustering, select appropriate evaluation metrics for classification, select appropriate evaluation metrics for regression, use evaluation metrics to choose between Machine Learning models, compare ensemble metrics against base models

Operationalize and Manage Azure Machine Learning Services
Deploy models using Azure Machine Learning
Publish a model developed inside Azure Machine Learning, publish an externally developed scoring function using an Azure Machine Learning package, use web service parameters, create and publish a recommendation model, create and publish a language understanding model
Manage Azure Machine Learning projects and workspaces
Create projects and experiments, add assets to a project, create new workspaces, invite users to a workspace, switch between different workspaces, create a Jupyter notebook that references an intermediate dataset
Consume Azure Machine Learning models
Connect to a published Machine Learning web service, consume a published Machine Learning model programmatically using a batch execution service, consume a published Machine Learning model programmatically using a request response service, interact with a published Machine Learning model using Microsoft Excel, publish models to the marketplace
Consume exemplar Cognitive Services APIs
Consume Vision APIs to process images, consume Language APIs to process text, consume Knowledge APIs to create recommendations

Use Other Services for Machine Learning
Build and use neural networks with the Microsoft Cognitive Toolkit
Use N-series VMs for GPU acceleration, build and train a three-layer feed forward neural network, determine when to implement a neural network
Streamline development by using existing resources
Clone template experiments from Cortana Intelligence Gallery, use Cortana Intelligence Quick Start to deploy resources, use a data science VM for streamlined development
Perform data sciences at scale by using HDInsights
Deploy the appropriate type of HDI cluster, perform exploratory data analysis by using Spark SQL, build and use Machine Learning models with Spark on HDI, build and use Machine Learning models using MapReduce, build and use Machine Learning models using Microsoft R Server
Perform database analytics by using SQL Server R Services on Azure
Deploy a SQL Server 2016 Azure VM, configure SQL Server to allow execution of R scripts, execute R scripts inside T-SQL statements

QUESTION 1
You are building an Azure Machine Learning Solution for an Online retailer.
When a customer selects a product, you need to recommend products that the customer might like to purchase at the same time. The recommendation should be based on what other customers purchased the same product.
Which model should you use?

A. Collaborative Filtering
B. Boosted Decision Tree Regression Model
C. Two-Class boosted decision tree
D. K-Means Clustering

Answer: A


QUESTION 2
You are analyzing taxi trips in New York City. You leverage the Azure Data Factory to create data pipelines and to orchestrate data movement.
You plan to develop a predictive model for 170 million rows (37 GB) of raw data in Apache Hive by using Microsoft R Serve to identify which factors contributes to the passenger tipping behavior.
All of the platforms that are used for the analysis are the same. Each worker node has eight processor cores and 28 GB Of memory.
Which type of Azure HDInsight cluster should you use to produce results as quickly as possible?

A. Hadoop
B. HBase
C. Interactive Hive
D. Spark

Answer: A


QUESTION 3
Note: This question is part of a series of questions that present the same Scenario.
Each question I the series contains a unique solution that might meet the stated goals. Some question sets might have more than one correct solution while others might not have correct solution.
Start of repeated Scenario:
A Travel agency named Margie’s Travel sells airline tickets to customers in the United States.
Margie’s Travel wants you to provide insights and predictions on flight delays. The agency is considering implementing a system that will communicate to its customers as the flight departure near about possible delays due to weather conditions.
The flight data contains the following attributes:
* DepartureDate: The departure date aggregated at a per hour granularity.
* Carrier: The code assigned by the IATA and commonly used to identify a carrier.
* OriginAirportID: An identification number assigned by the USDOT to identify a unique airport (the flight’s Origin)
* DestAirportID: The departure delay in minutes.
*DepDet30: A Boolean value indicating whether the departure was delayed by 30 minutes or more ( a value of 1 indicates that the departure was delayed by 30 minutes or more)
The weather data contains the following Attributes: AirportID, ReadingDate (YYYY/MM/DD HH), SKYConditionVisibility, WeatherType, Windspeed, StationPressure, PressureChange and HourlyPrecip.
End of repeated Scenario:
You plan to predict flight delays that are 30 minutes or more.
You need to build a training model that accurately fits the data. The solution must minimize over fitting and minimize data leakage. Which attribute should you remove?

A. OriginAirportID
B. DepDel
C. DepDel30
D. Carrier
E. DestAirportID

Answer: B

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Exam 70-773
Analyzing Big Data with Microsoft R

Published: January 3, 2017
Languages: English
Audiences: Data scientists
Technology Microsoft R Server, SQL R Services
Credit toward certification: MCP, MCSE

Skills measured
This exam measures your ability to accomplish the technical tasks listed below. View video tutorials about the variety of question types on Microsoft exams.

Please note that the questions may test on, but will not be limited to, the topics described in the bulleted text.

Do you have feedback about the relevance of the skills measured on this exam? Please send Microsoft your comments. All feedback will be reviewed and incorporated as appropriate while still maintaining the validity and reliability of the certification process. Note that Microsoft will not respond directly to your feedback. We appreciate your input in ensuring the quality of the Microsoft Certification program.

If you have concerns about specific questions on this exam, please submit an exam challenge.

If you have other questions or feedback about Microsoft Certification exams or about the certification program, registration, or promotions, please contact your Regional Service Center.

Read and explore big data
Read data with R Server
Read supported data file formats, such as text files, SAS, and SPSS; convert data to XDF format; identify trade-offs between XDF and flat text files; read data through Open Database Connectivity (ODBC) data sources; read in files from other file systems; use an internal data frame as a data source; process data from sources that cannot be read natively by R Server
Summarize data
Compute crosstabs and univariate statistics, choose when to use rxCrossTabs versus rxCube, integrate with open source technologies by using packages such as dplyrXdf, use group by functionality, create complex formulas to perform multiple tasks in one pass through the data, extract quantiles by using rxQuantile
Visualize data
Visualize in-memory data with base plotting functions and ggplot2; create custom visualizations with rxSummary and rxCube; visualize data with rxHistogram and rxLinePlot, including faceted plots

Process big data
Process data with rxDataStep
Subset rows of data, modify and create columns by using the Transforms argument, choose when to use on-the-fly transformations versus in-data transform trade-offs, handle missing values through filtering or replacement, generate a data frame or an XDF file, process dates (POSIXct, POSIXlt)
Perform complex transforms that use transform functions
Define a transform function; reshape data by using a transform function; use open source packages, such as lubridate; pass in values by using transformVars and transformEnvir; use internal .rx variables and functions for tasks, including cross-chunk communication
Manage data sets
Sort data in various orders, such as ascending and descending; use rxSort deduplication to remove duplicate values; merge data sources using rxMerge(); merge options and types; identify when alternatives to rxSort and rxMerge should be used
Process text using RML packages
Create features using RML functions, such as featurizeText(); create indicator variables and arrays using RML functions, such as categorical() and categoricalHash(); perform feature selection using RML functions

Build predictive models with ScaleR
Estimate linear models
Use rxLinMod, rxGlm, and rxLogit to estimate linear models; set the family for a generalized linear model by using functions such as rxTweedie; process data on the fly by using the appropriate arguments and functions, such as the F function and Transforms argument; weight observations through frequency or probability weights; choose between different types of automatic variable selections, such as greedy searches, repeated scoring, and byproduct of training; identify the impact of missing values during automatic variable selection
Build and use partitioning models
Use rxDTree, rxDForest, and rxBTrees to build partitioning models; adjust the weighting of false positives and misses by using loss; select parameters that affect bias and variance, such as pruning, learning rate, and tree depth; use as.rpart to interact with open source ecosystems
Generate predictions and residuals
Use rxPredict to generate predictions; perform parallel scoring using rxExec; generate different types of predictions, such as link and response scores for GLM, response, prob, and vote for rxDForest; generate different types of residuals, such as Usual, Pearson, and DBM
Evaluate models and tuning parameters
Summarize estimated models; run arbitrary code out of process, such as parallel parameter tuning by using rxExec; evaluate tree models by using RevoTreeView and rxVarImpPlot; calculate model evaluation metrics by using built-in functions; calculate model evaluation metrics and visualizations by using custom code, such as mean absolute percentage error and precision recall curves
Create additional models using RML packages
Build and use a One-Class Support Vector Machine, build and use linear and logistic regressions that use L1 and L2 regularization, build and use a decision tree by using FastTree, use FastTree as a recommender with ranking loss (NDCG), build and use a simple three-layer feed-forward neural network

Use R Server in different environments
Use different compute contexts to run R Server effectively
Change the compute context (rxHadoopMR, rxSpark, rxLocalseq, and rxLocalParallel); identify which compute context to use for different tasks; use different data source objects, depending on the context (RxOdbcData and RxTextData); identify and use appropriate data sources for different data sources and compute contexts (HDFS and SQL Server); debug processes across different compute contexts; identify use cases for RevoPemaR
Optimize tasks by using local compute contexts
Identify and execute tasks that can be run only in the local compute context, identify tasks that are more efficient to run in the local compute context, choose between rxLocalseq and rxLocalParallel, profile across different compute contexts
Perform in-database analytics by using SQL Server
Choose when to perform in-database versus out-of-database computations, identify limitations of in-database computations, use in-database versus out-of-database compute contexts appropriately, use stored procedures for data processing steps, serialize objects and write back to binary fields in a table, write tables, configure R to optimize SQL Server ( chunksize, numtasks, and computecontext), effectively communicate performance properties to SQL administrators and architects (SQL Server Profiler)
Implement analysis workflows in the Hadoop ecosystem and Spark
Use appropriate R Server functions in Spark; integrate with Hive, Pig, and Hadoop MapReduce; integrate with the Spark ecosystem of tools, such as SparklyR and SparkR; profile and tune across different compute contexts; use doRSR for parallelizing code that was written using open source foreach
Deploy predictive models to SQL Server and Azure Machine Learning
Deploy predictive models to SQL Server as a stored procedure, deploy an arbitrary function to Azure Machine Learning by using the AzureML R package, identify when to use DeployR


Question No : 1

Note: This question Is part of a series of questions that use the same or similar answer choice. An answer choice may be correct for more than one question in the series. Each question is independent of the other questions in this series. Information and details provided In a question apply only to that question. You need to evaluate the significance of coefficient that are produced by using a model that
was estimated already.

Which function should you use?

A. rxPredict
B. rxLogit
C. Summary
D. rxLinMod
E. rxTweedie
F. stepAic
G. rxTransform
H. rxDataStep

Answer: D

Explanation: https://docs.microsoft.com/en-us/r-server/r/how-to-revoscaler-linear-model


Question No : 2

You need to build a model that looks at the probability of an outcome. You must regulate between L1 and L2. Which classification method should you use?

A. Two-Class Neural Network
B. Two-Class Support Vector Machine
C. Two-Class Decision Forest
D. Two-Class Logistic Regression

Answer: A

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Published: July 9, 2015
Languages: English
Audiences: Information workers
Technology: Microsoft Dynamics Marketing
Credit toward certification: MCP

Skills measured
This exam measures your ability to accomplish the technical tasks listed below. The percentages indicate the relative weight of each major topic area on the exam. The higher the percentage, the more questions you are likely to see on that content area on the exam. View video tutorials about the variety of question types on Microsoft exams.

Please note that the questions may test on, but will not be limited to, the topics described in the bulleted text.

Do you have feedback about the relevance of the skills measured on this exam? Please send Microsoft your comments. All feedback will be reviewed and incorporated as appropriate while still maintaining the validity and reliability of the certification process. Note that Microsoft will not respond directly to your feedback. We appreciate your input in ensuring the quality of the Microsoft Certification program.

If you have concerns about specific questions on this exam, please submit an exam challenge.

If you have other questions or feedback about Microsoft Certification exams or about the certification program, registration, or promotions, please contact your Regional Service Center.

Apply integrated marketing management (IMM) solution concepts (10-15%)
Describe marketing organizations and their solution requirements
Identify typical marketing organization types and roles, define their functional needs, define specific marketing scenarios
Identify the characteristics of an IMM solution
Define IMM disciplines; identify functional product modules, define a solution implementation scope
Explain integration options
Characterize a customer relationship management (CRM) integration scenario, explain external Power BI reporting options, outline social engagement integration options

Set up and configure the application (10-15%)
Provision the software
Provision a mobile device management (MDM) system via Office 365, explain the Office 365 user setup process, describe the license assignment process
Explain the user interface and administrative settings
Indicate key navigation functionality, set up dashboard widgets; demonstrate user interface customization options; configure user alerts options; describe key administrative system settings; enter support tickets, and work with support for resolution
Define users, contacts, and organizations
Set up different types of companies; introduce business hierarchies; create contact records; create templates for programs, campaigns, jobs, approvals, and estimates; explain the users and contacts relationship; define user and role privileges; use custom contact fields

Create, track, and measure multichannel marketing communication (10-15%)
Prepare system for multichannel marketing activities
Explain different email marketing plug-ins; review functional options of the Subscription Center; evaluate available email editor options; compare available email designations and rules; demonstrate file management for email marketing; describe events, landing pages, A/B testings, and webinars
Compose and send email marketing messages
Determine functional options of the drag-and-drop email editor, identify available personalization and dynamic content options, expand on legal requirements for marketing email communication, characterize email performance reporting options, create queries; understand marketing lists
Create and post social media messages
Set up social media outlets; create and dispatch social media messages, create and integrate landing pages into email messages; create email templates; gather leads and connections with CRM

Generate and manage marketing leads (10-15%)
Capture and nurture marketing leads
Explore alternative lead creation methods and sources; describe available lead creation rules and strategies, differentiate between leads and lead interactions, apply manual and automated lead scoring, outline landing page design and operation options
Convert marketing leads and close opportunities
Identify key stages of the lead lifecycle, explain the Sales Ready stage and its relevance for an integrated MDM/CRM scenario, assign leads automatically based on defined criteria
Apply lead-based segmentation
Characterize different segmentation options; explain list and query setup, maintenance, and synchronization options with CRM

Automate marketing campaigns (10-15%)
Plan automated marketing campaigns
Name and explain different campaign action and response types, compare different types of email campaigns, explore functional options available to pre-test certain campaign contents
Compose and activate the campaign workflow
Describe best practice examples for setting up automated campaign workflows, validate and activate automated campaigns
Maintain and report on automated campaigns
Demonstrate campaign performance and results tracking options, display sales collaboration features in an integrated MDM/CRM scenario, devise best-practices for mid-flight campaign alterations

Measure marketing performance and results (10-15%)
Use built-in performance reporting
Demonstrate benefits and limitations of built-in reports; explore report security options; compare built-in reports with ad-hoc list view reports; create standard Power BI dashboard widgets; repurpose OOB fields; add new fields for reporting needs
Leverage external reporting
Leverage Power BI functionality to build external custom reports, explain the role and function of the OData interface, demonstrate how Microsoft Social Engagement reports can be embedded

Manage marketing projects (10-15%)
Work with jobs, tasks, and requests
Compare typical job workflow scenarios, explain the job teams and job tasks functionality, build a job request connected to a job template
Manage digital assets and approval workflows
Name supported file types, point out available online markup functionality, compare different approval methods and user roles, manage file versioning and purge of deleted files, assist in naming conventions for files and a file library folder structure
Plan and organize events
Describe event registration and attendance management, define event venues and facilities, set up and manage event sessions, create approval templates

Manage marketing finance (5-10%)
Manage marketing budgets
Set up a chart of accounts, manage and maintain marketing budgets, configure budget security, differentiate between a workbook and a worksheet
Track expenses and other costs
Explore how to track marketing expenses and direct cost of labor; track time slips; report on planned versus actual project costs; create purchase orders, invoices, expenses, and estimates
Plan and buy media
Introduce media vendors and outlets, build a media plan and create media orders, report based on media usage and channel performance, compose a rate card

Integrate Microsoft Dynamics Marketing with CRM (10-15%)
Explain the business case scenario
Describe the solution’s underlying philosophy; determine limiting factors and exception criteria; assist the marketing and sales team to define which fields will be integrated; define business rules for leads, opportunities, and new campaigns
Describe technical requirements
Name the supported MDM and CRM versions and deployment options, identify the required technical steps to complete the integration, describe the MDM configuration steps for the MDM-CRM Connector

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Exam MB6-702 Microsoft Dynamics AX 2012 R3 Financials

Published: December 23, 2014
Languages: English, Chinese (Simplified), Japanese
Audiences: IT professionals
Technology: Microsoft Dynamics AX
Credit toward certification: Specialist

This exam measures your ability to accomplish the technical tasks listed below. The percentages indicate the relative weight of each major topic area on the exam. The higher the percentage, the more questions you are likely to see on that content area on the exam. View video tutorials about the variety of question types on Microsoft exams.

Please note that the questions may test on, but will not be limited to, the topics described in the bulleted text.

Do you have feedback about the relevance of the skills measured on this exam? Please send Microsoft your comments. All feedback will be reviewed and incorporated as appropriate while still maintaining the validity and reliability of the certification process. Note that Microsoft will not respond directly to your feedback. We appreciate your input in ensuring the quality of the Microsoft Certification program.

If you have concerns about specific questions on this exam, please submit an exam challenge.

If you have other questions or feedback about Microsoft Certification exams or about the certification program, registration, or promotions, please contact your Regional Service Center.

Configure Microsoft Dynamics AX 2012 R3 (25–30%)
Set up the General Ledger, chart of accounts, and journals
Create a chart of accounts; create and categorize main accounts; identify main account types; create financial dimensions and dimension sets; configure account structures; create advanced rule structures; create organizational units and hierarchies; create fiscal calendars, years, and periods; create date intervals; create reason codes; define journal names; define allocation rules and allocation basis; create system accounts; create journal texts; set up intercompany accounting; define General Ledger parameters
Define cash and bank management and procedures
Create bank transaction types and groups; define bank parameters; create payment purpose codes, bank groups, and bank accounts; define check layouts
Set up Accounts Payable and Accounts Receivable
Create payment schedules and terms, create a payment day, define cash discounts and payment fees, create payment methods, create vendor accounts, create vendor groups, define vendor posting profiles, assign a vendor posting profile, form setup and print management, define matching policies and tolerances, create charges and charge groups, define aging periods
Set up currencies and sales tax
Set up currencies, currency types, and exchange rates; create ledger posting groups; create sales tax authorities; create sales tax settlement periods; create sales tax codes; create sales tax groups; set up item sales tax groups; set up a sales tax jurisdiction

Manage Microsoft Dynamics AX 2012 R3 (25–30%)
Manage General Ledger daily and periodic procedures
Create a General Ledger journal, post multiple journals, approve journals, create a voucher template, create a periodic journal, reverse a General Ledger transaction, manage journal transaction inquiries and reports, create journal controls, revalue foreign currency, process financial consolidation, post a sales tax payment
Manage Accounts Payable daily and periodic procedures
Create vendor invoices, create invoice journals, revalue foreign currency, generate vendor payments, manage vendor postdated checks
Manage Accounts Receivable daily and periodic procedures
Create customer invoices, create free text invoices, revalue foreign currency, apply customer payments, manage customer collections
Manage commitment accounting and cash flow
Configure dependent ledger accounts, set up cash flow forecasting, define a cash flow forecast budget model, create and calculate cash flow transactions
Manage advanced payments
Set up bridge accounts, manage electronic vendor and customer payments, manage centralized payments and prepayments (deposits), administer a bill of exchange, manage direct debit mandates
Maintain bank accounts
Checks and deposit slips, void and refund checks, manage bank remittance and payment reversals, reconcile a bank account

Define and manage budgets (15–20%)
Plan budgets
Identify budget components, identify budgeting methodologies, create organizational hierarchies, define budget stages, define budget allocation terms, configure budget plans, configure budget allocation schedules, configure support for budget planning templates
Control budgets
Plan for budget controls; identify budget control components; set up, create, and revise budgets; define the budget funds available calculation; define budget cycles; create budget control rules and budget groups; manage budget reporting; manage integrated budgeting; create budget transfers
Create basic budgets
Define budget dimensions, create budget models and codes, create budget register entries, define and create encumbrances, manage purchase order encumbrances, process year-end purchase orders

Configure and manage Fixed Assets (20–25%)
Configure the Fixed Assets module
Set up the Fixed Assets module, create value models, create Fixed Asset groups, set up Fixed Asset parameters, manage reason codes in the Fixed Assets module, manage depreciation methods and conventions, manage depreciation books, manage provision types and bonus depreciation, update depreciation conventions for a depreciation book, set up depreciation profiles
Set up assets
Identify Fixed Assets module components; manage Fixed Asset forms; set up assets in the Fixed Assets module; lend assets; assign bar codes to assets, budget assets; integrate other modules with Fixed Assets
Manage asset transactions
Identify typical Fixed Asset transaction types; record acquisitions and acquisition proposals; create and acquire Fixed Assets from purchase orders; record depreciation, value adjustments, and disposals; manage transaction reversals; manage replacement costs and update insured values; copy Fixed Assets and change Fixed Asset groups; manage Fixed Asset additions

QUESTION 1
You need to create a fixed asset that records depreciation quarterly.
Which form should you use to configure the period frequency for posting depreciation?

A. Value models
B. Depreciation profiles
C. Special depreciation allowance
D. Depreciation books

Answer: A


QUESTION 2
Which three methods can you use to assign bar codes to fixed assets? Each correct answer presents a complete solution.

A. Automatically assign the bar codes when you create fixed assets.
B. Assign the bar codes to fixed assets groups.
C. Automatically assign the bar codes based on the fixed asset journal type.
D. Assign the bar codes to current fixed assets.
E. Manually assign the bar codes when you create fixed assets.

Answer: A,B,D


QUESTION 3
You need to configure a workflow to approve all budget amounts at the line level.
Which workflow configuration type should you use?

A. Budget register entry workflow
B. Ledger fixed assets budget journal workflow
C. Budget plan workflows
D. Budget account entry workflow

Answer: A


QUESTION 4
You need to ensure that you have the most current data to manage customer collections.
What should you create first?

A. A customer account statement
B. A customer balance list
C. A customer aging snapshot
D. A customer pool

Answer: B


QUESTION 5
Which two elements are required to create a budget plan in Microsoft Dynamics AX 2012? Each correct answer presents part of the solution.

A. Budget plan priority
B. Budget plan preparer
C. Budget planning user group
D. Budget planning process

Answer: A,C

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Published: December 15, 2014
Languages: English, Chinese (Simplified), Japanese
Audiences: IT professionals
Technology: Microsoft Dynamics AX
Credit toward certification: Specialist

Skills measured
This exam measures your ability to accomplish the technical tasks listed below. The percentages indicate the relative weight of each major topic area on the exam. The higher the percentage, the more questions you are likely to see on that content area on the exam. View video tutorials about the variety of question types on Microsoft exams.

Please note that the questions may test on, but will not be limited to, the topics described in the bulleted text.

Do you have feedback about the relevance of the skills measured on this exam? Please send Microsoft your comments. All feedback will be reviewed and incorporated as appropriate while still maintaining the validity and reliability of the certification process. Note that Microsoft will not respond directly to your feedback. We appreciate your input in ensuring the quality of the Microsoft Certification program.

If you have concerns about specific questions on this exam, please submit an exam challenge.

If you have other questions or feedback about Microsoft Certification exams or about the certification program, registration, or promotions, please contact your Regional Service Center.

Manage the supply chain foundation (35–40%)
Manage product information
Define products, model configurable products, authorize and finalize product setup in a legal entity, configure units of measure, define products as not stocked
Set up inventory management
Implement item groups, item model groups, and storage and tracking dimension groups; configure warehouse management
Manage purchase orders
Work with purchase orders and purchase order types, set up account payable purchase parameters, purchase not stocked items, ship to multiple addresses, set up and maintain a delivery schedule, change management, purchase order documents, process a purchase order; generate a receipts list and a product list
Manage serial and batch numbers
Manage dimension group storage dimensions, implement manual allocation and automatic allocation, trace inventory
Manage sales orders
Work with sales orders; sales orders types; implement full text search; configure sales parameters; implement sales orders for not stocked items; ship to multiple addresses; implement other sales order actions; configure enhanced delivery date control; set up and maintain delivery schedule; manage available ship and receipt dates, order entry deadlines, and direct delivery; generate a sales order confirmation and a sales order picking list; process a picking list registration; ship a carrier interface
Manage quality and quarantine
Set up quality management basics, set up automatic quality order generation, create a manual quality order, work with a nonconformance, implement quality reports and certificates, set up quarantine warehouse parameters, manage quarantine items and inventory transactions on quarantined items
Manage inventory journals and reports
Set up inventory journals; implement inventory adjustment and movement journals, transfer journals, bill of material (BOM) journals, and counting journals; create a journal-specific setup; create and process counting journals; tag counting journals; implement inventory blocking, set up ABC inventory classification; configure inventory reports and forecasting reports

Manage distribution and trade (30–35%)
Manage over/under delivery and charges
Configure over and under delivery, add charges, configure price charges, implement charges codes, manage manual charges and automatic charges
Manage customer and vendor trade agreements
Activate trade agreements, set up trade agreements, configure trade agreement parameters, set up trade agreement policies, configure supplementary items, configure purchase and sales agreements, agreement commitment types
Manage item arrival and registration
Set up item registration, configure item arrival by using the arrival overview form, manage item arrival
Manage vendor and customer returns
Create vendor returns and vendor returns for serialized items; set up customer returns; create a return order; implement item arrival and receipt registration; implement quarantine orders, replacement orders, and not stocked item returns
Manage sales quotations
Set up a sales quotation, work with quotations, work with additional sales quotation features
Manage item reservations
Why perform reservations and what you can reserve; implement manual reservations and automatic reservations; implement automatic reservations and selection of lots, explosion reservations, view reservations, lock reservations, cancel reservations, and batch reservations; pick reserved items; reserve serialized inventory
Pick sales order
Enable sales order picking and setup; release sales order picking; manage picking operations
Manage commissions
Set up a commission, view commission transactions, manage commission transactions for return items
Manage transfer orders
Set up transfer orders, use the transfer order form, pick items for a transfer order, ship and receive a transfer order

Implement and configure Microsoft Dynamics AX 2012 bills of materials module (30–35%)
Create simple BOMs
Use the BOM form to create simple BOMs, work with BOMs in BOM Designer
Create BOMs with versions
BOM versions overview; create BOMs by using the Product per Company form; activate multiple BOM versions; copy BOM versions; change BOM versions; create BOMs with a version from the BOM form, BOMs with a version in the BOM Designer, and quantity-dependent BOMs; work with validity dates and sub-BOMS on component lines
Manage product change cases
The product change case process, set up a product change case, associate entities, process a product change case
Manage dimension-based configurations
Manage dimension-based configurations, implement BOM configurations and item configurations
Work with BOM calculations
The BOM calculations structure; implement cost groups, profit settings, and calculation groups; view costing versions and BOM calculations; implement cost and sales price calculations; implement Explosion Mode and BOM stop explosions
Manage sales orders and BOMs
Configurable BOMS and sales orders, view BOMs in a sales order, explode a BOM from a sales order, calculate a BOM from a sales order
Manage scrap and measurement
Implement BOM scrap, configure and manage BOM measurements
Report a BOM as finished
Report a BOM as finished
Manage reports and other BOM functionality
Manage standard BOM reports, manage other BOM functionality

 


QUESTION 1
You create a new purchase order and add a line that has a product, quantity, and unit price.
You need to send the purchase order to the vendor.
What should you generate?

A. Areceipts list
B. Aproduct receipt
C. Apro forma receipts list
D. Aconfirmation

Answer: B

Explanation: Confirm the receipt of products [AX 2012]
When you order a product such as a new office desk, and the purchase is then confirmed, a product receipt that has not yet been confirmed becomes available on the Unconfirmed product receipts page on Enterprise Portal for Microsoft Dynamics AX. The product receipt indicates the expected date of delivery of the ordered product. When the product arrives, you must confirm the receipt of the product. You need to do this to indicate that you accept the delivery. You do this on the Unconfirmed product receipts page.
? Click Procurement on the top link bar, and then click Unconfirmed product receipts on the Quick Launch.
? Select the product receipt that you want to confirm. On the Action Pane, on the Confirmation of product receipt tab, in the Update group, click Receive.
? Approve or change the received quantity, and then click the Close line check box if you want to close the purchase order line.
? Click Save and close to save the changes, if any, and return to the Unconfirmed product receipts page. The product receipt that you have just confirmed is no longer visible in the list.


QUESTION 2
You need to identify what happens to the on-hand inventoryof a bill of materials (BOM) and the components of the BOM when you report a BOM as finished.
What should you identify?

A. The on-hand quantity of the BOM and the on-hand quantity of the BOM components ate unchanged.
B. The on-hand quantity of the BOM is increased, and the on-hand quantity of the BOM components is decreased.
C. The on-hand quantity of the BOM is unchanged and the on-hand quantity of the BOM components is decreased.
D. The on-hand quantity of the BOM item is increased, and the on-hand quantity of the BOM components is unchanged.

Answer: D


QUESTION 3
You need to create a draft sales order. The sales order must not include inventory transactions.
Which order type should you use?

A. Subscription
B. Sales order
C. Item requirements
D. Journal

Answer: D

Explanation: A sales order of type Journal is a draft sales order. It has no effect on stock.


QUESTION 4
A warehouse coordinator manually allocates how much inventory should be shipped each day for transfer orders. A warehouse worker uses the information entered by the warehouse coordinator to process the shipments automatically.
You need to identify which actions must be performed by the warehouse coordinator and the warehouse worker.
What should you identify?

A. The warehouse coordinator enters the quantity into the Receive now field, and then the warehouse worker performs the shipment update.
B. The warehouse coordinator enters the quantity into the Ship now field, and then the warehouse worker performs the shipment update.
C. The warehouse coordinator enters the quantity into the Ship now field, and then the warehouse worker performs the picking list update.
D. The warehouse coordinator enters the quantity into the Receive now field, and then the warehouse worker performs the picking list update.

Answer: B

Explanation: Transfer orders (form) [AX 2012] *Ship now
View or modify the shipment quantity for the transfer order line that you want to ship now.
*
/Shipped quantity
The quantity of a transfer order line that has already been shipped. This field is updated after every shipment update.
(Ship remain
The remaining quantity to be shipped after the last shipment update.
Incorrect: *Receive now
View or modify the receipt quantity for the transfer order line that you want to receive now.


QUESTION 5
You are setting up a new product.
Which of the following three fields are required to finalize the released product? Each correct answer presents pan of the solution.

A. Product category
B. Item group
C. Item sales tax group
D. StorageDimension group
E. Item modelgroup

Answer: B,D,E

 

 

 

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Published: December 15, 2014
Languages: English, Chinese (Simplified), Japanese
Audiences: Developer
Technology: Microsoft Dynamics AX
Credit toward certification: Specialist

Skills measured
This exam measures your ability to accomplish the technical tasks listed below. The percentages indicate the relative weight of each major topic area on the exam. The higher the percentage, the more questions you are likely to see on that content area on the exam. View video tutorials about the variety of question types on Microsoft exams.

Please note that the questions may test on, but will not be limited to, the topics described in the bulleted text.

Do you have feedback about the relevance of the skills measured on this exam? Please send Microsoft your comments. All feedback will be reviewed and incorporated as appropriate while still maintaining the validity and reliability of the certification process. Note that Microsoft will not respond directly to your feedback. We appreciate your input in ensuring the quality of the Microsoft Certification program.

If you have concerns about specific questions on this exam, please submit an exam challenge.

If you have other questions or feedback about Microsoft Certification exams or about the certification program, registration, or promotions, please contact your Regional Service Center.

Describe the Microsoft Dynamics AX architecture, manage the data dictionary, and manage the user interface (30–35%)
Describe the Microsoft Dynamics AX architecture
Identify the features of Microsoft Dynamics AX, describe the architecture of Microsoft Dynamics AX, describe the development environment, describe licensing and configuration, describe the model-driven architecture
Manage the data dictionary
Work with MorphX and the application object tree (AOT); describe primitive and extended data types; create tables; work with indexes, relations, enumerations, and views
Manage the user interface
Create forms, join data sources, create menu items, create forms from form templates, work with list pages and FactBoxes

Work with X++ (35–40%)
Describe X++
Identify the characteristics of X++; develop by using tools, such as the debugger and the Compare Tool; describe best practices; implement reverse engineering
Work with X++ control statements
Work with variables, operators, conditional statements, and loops; use built-in functions; use communication tools
Manage objects and classes
Work with objects, classes, and inheritance; work with scoping events and parameters
Manage exception handling
Work with exceptions and optimistic concurrency exceptions, work with throw and try/catch statements

Manage security and database access (30–35%)
Work with role-based security
Set up a new user, assign roles to users, change duties on a role, change privileges on a duty, assign permissions to a privilege
Understand security for developers
Understand permissions and security policies, work with Code Access Security, use display method authorization
Access the database
Retrieve data, manipulate data, work with queries


QUESTION 1
You have two tables named Table l and Table2. There is a relationship between the tables.
You need to display data from both tables in a form.
How should you create the data source for the form?

A. Add both tables to a perspective and use the perspective as the data source.
B. Create a new table named Table3 that is related to Table l and Table2. Use Tables as the data source.
C. Add both tables to a map and use the map as the data source.
D. Add both tables to a query and use the query as the data source.

Answer: D


QUESTION 2
You plan to import a .xpo file to Dynamics AX.
You need to identify which changes the .xpo code will make to the Dynamics AX environment prior to importing the .xpo file,
Which tool should you use?

A. The Compare tool
B. The Code profiler
C. The X++ compiler
D. The Tracing cockpit

Answer: A


QUESTION 3
You are writing logic to fetch data from a database. The logic will use a select statement.
You need to identify which keyword to use to fetch a single record from the database.
Which keyword should you use?

A. FirstFast
B. ForUpdate
C. Exists
D. FirstOnly

Answer: D


QUESTION 4
You need to identify which permission can be set only on a form that has date effective data.
Which permission should you identify?

A. Correct
B. Create
C. Delete
D. Read
E. Update

Answer: A


QUESTION 5
You need to identify which elements the Reverse engineer tool will provide for a data model.
Which three elements should you identify? Each correct answer presents part of the solution.

A. Table methods
B. Classes
C. Table fields
D. Base enumerations
E. Extended data types (EDTs)

Answer: C,D,E

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Published: March 11, 2016
Languages: English
Audiences: IT professionals
Technology: Microsoft Dynamics AX
Credit toward certification: Specialist

Skills measured
This exam measures your ability to accomplish the technical tasks listed below. The percentages indicate the relative weight of each major topic area on the exam. The higher the percentage, the more questions you are likely to see on that content area on the exam. View video tutorials about the variety of question types on Microsoft exams.

Please note that the questions may test on, but will not be limited to, the topics described in the bulleted text.

Do you have feedback about the relevance of the skills measured on this exam? Please send Microsoft your comments. All feedback will be reviewed and incorporated as appropriate while still maintaining the validity and reliability of the certification process. Note that Microsoft will not respond directly to your feedback. We appreciate your input in ensuring the quality of the Microsoft Certification program.

If you have concerns about specific questions on this exam, please submit an exam challenge.

If you have other questions or feedback about Microsoft Certification exams or about the certification program, registration, or promotions, please contact your Regional Service Center.

As of June 2, 2016, this exam content reflects the removal of coverage for Management Reporter. For more information, please download the exam MB6-893 change document.

Set up and configure the Finance modules (15–20%)
Define and format the General Ledger module
Define Currency and Exchange Rates; define and create the Chart of Accounts and account structures; set up Fiscal Calendars, Years, and Periods; create and define financial dimensions and financial dimension sets; create period allocations; set up journals; define the General Ledger parameters
Format the Cash and Bank Management module
Define bank transaction types and transaction groups; set up bank groups, create bank accounts, define the Cash and Bank Management parameters
Understand the Accounts Receivable module
Define customer posting profiles, set up Customer Payment information, create customers, define the Accounts Receivable parameters, define an organizational structure for centralized payments
Define the Accounts Payable module
Define vendor posting profiles, set up vendor payment information, define invoice matching; create vendors, set up vendor 1099 information, define the account payable parameters; define an organizational structure for centralized payments
Set up and configure the Fixed Assets module
Define depreciation methods and conventions, set up depreciation profiles and books, set up value models, define Fixed Asset parameters, create fixed assets, set up and assign bar codes to assets, lend fixed assets

Set up, configure, and process sales tax (15–20%)
Define sales tax setup procedures
Define ledger posting groups, create sales tax codes, create sales and item tax groups, define sales tax authorities, define withholding tax
Understand sales tax transactions
Revise sales tax prior to posting a transaction, post sales tax on prepayments, create transactions with conditional sales tax

Set up basic budgeting and budget planning (10–15%)
Understand budgeting concepts and types
Define budget concepts, discuss different budget types
Set up and configure the Budgeting module
Define and set up the different budget configurations, define the budget parameters
Define and generate budget plans
Define budget planning configuration, create budget plans, process budget plans, modify budget plans in Excel

Create Budget Register entries (15–20%)
Process Budget Register entries
Transfer budget balances, define budget allocations, update Budget Register entries in Excel
Process Register entries from budget plans
Create Budget Register entries from budget plans

Manage Financial daily procedures (20–25%)
Review and process General Ledger daily procedures
Create voucher templates, process periodic journals, process period allocations, create and process accrual schemes, reverse a transaction, create reversing entries
Process and understand Cash and Bank Management daily procedures
Create and delete checks, void a check and create payment reversals, create and cancel deposit slips, reconcile bank accounts
Create and process Accounts Receivable daily procedures
Create free text invoices, process prepayments, create payment journals, reverse settlements, reimburse a customer
Review and process Accounts Payable daily procedures
Define and create different types of invoice journals, manage vendor invoices, process prepayments, create payment journals
Review and process Fixed Asset daily procedures
Define transaction types available, process acquisitions through the General Ledger and Purchasing modules, process depreciations, process disposals, process value adjustments

Set up and use Collections Management and Consolidations (10–15%)
Configure Collections settings
Set up and process collection letters, set up and calculate interest, process interest adjustments, set up customer pools and aging period definitions
Manage Collections information
Review aging snapshots, process customer statements, create write-off transactions, add activities to transactions through the Collections screen
Define Consolidations settings
Set up and define a consolidation company, add consolidation information to main accounts

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Published: May 9, 2016
Languages: English
Audiences: IT professional
Technology: Microsoft Dynamics AX
Credit toward certification: Specialist

Skills measured
This exam measures your ability to accomplish the technical tasks listed below. The percentages indicate the relative weight of each major topic area on the exam. The higher the percentage, the more questions you are likely to see on that content area on the exam. View video tutorials about the variety of question types on Microsoft exams.

Please note that the questions may test on, but will not be limited to, the topics described in the bulleted text.
Do you have feedback about the relevance of the skills measured on this exam? Please send Microsoft your comments. All feedback will be reviewed and incorporated as appropriate while still maintaining the validity and reliability of the certification process. Note that Microsoft will not respond directly to your feedback. We appreciate your input in ensuring the quality of the Microsoft Certification program.

If you have concerns about specific questions on this exam, please submit an exam challenge.

If you have other questions or feedback about Microsoft Certification exams or about the certification program, registration, or promotions, please contact your Regional Service Center.

Set up and maintain master data for the supply chain and distribution and trade (30–35%)
Manage customer relationships
Create and maintain customer records in Microsoft Dynamics AX, configure and manage customer trade agreements, set up customer groups and posting profiles, configure credit limits
Manage vendor relationships
Create and maintain vendor records, configure and manage vendor trade agreements, set up vendor groups and posting profiles
Manage products and services
Create product and service items, create item groups and item model groups, create product dimensions and inventory dimension groups, track inventory using serial and batch numbers, create units of measure, create inventory and posting profiles
Enrich product data
Set up product attributes, create and maintain product hierarchies

Manage the sales process (25–30%)
Control and manage sales
Create charges codes, create customer charges groups, create item charges groups, create delivery charges groups, create auto charges, create terms of payment
Manage sales commissions
Create commission customer groups, create commission item groups, create commission sales groups, set up commission calculations
Create sales quotations
Work with sales quotations, update sales quotations
Perform the sales process
Create sales orders, create customer sales agreements
Process outbound delivery and invoicing
Set up warehouses, pack and ship products, post a packing slip, invoice customers, process returns from customers

Manage the purchase process (30–35%)

Control and manage purchases
Create charges codes, create vendor charges groups, create item charges groups, create delivery charges groups, create auto charges
Create purchase requisitions
Create and submit purchase requisitions for approval, define control parameters and workflow on purchase requisition documents, set up purchasing policies
Create requests for quotations
Process requests for quotations, reply to requests for quotations, create requests for quotations
Perform the procurement process
Create purchase orders, create purchase agreements, create release lines, set up and process change management
Receive products and services
Perform desktop receiving, create purchase invoices and match receipts, set up quality management on purchase items, inspect product receipts, receive products and return rejections, create a case for undelivered products from a vendor
Manage vendor invoices
Set up payment schedules, manage terms of payment, create cash discounts, configure payment fees, configure vendor posting profiles, add charges on purchase order invoices, describe the types of invoice matching, perform invoice matching, create and process vendor invoices
Manage vendor invoice journals
Describe the methods for invoicing in Accounts Payable, create and process invoice registers and approval journals, create and process invoice journals, create and use a voucher template in an invoice journal, process invoice matching for vendor invoices

Manage the payment process and cash application process (10–15%)
Set up payment management
Configure methods of payments, create payment days, configure customers and vendors for payment processing, set up bank remittance, create payment fees
Manage vendor payments
Create and process vendor payment journals, set up and process electronic vendor payments, manage vendor transactions, reverse a vendor transaction, reverse a posted payment, identify inquiries and reports in Accounts Payable and their uses
Manage customer payments
Create and process payment journals, such as cash receipts; set up and process electronic customer payments; set up and generate prenotes; manage customer transactions; create and manage deposit slips; set up and use bridging accounts for posting payments; identify inquiries and reports in Accounts Payable and their uses
Manage bills of exchange
Identify and configure journal names for bills of exchange, configure Accounts Receivable parameters for bills of exchange, configure the setup components for bills of exchange, process bills of exchange

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Published: January 22, 2016
Languages: English, Chinese (Simplified), French, German, Japanese, Spanish
Audiences: Information workers
Technology: Microsoft Dynamics CRM
Credit toward certification: Specialist

Skills measured
This exam measures your ability to accomplish the technical tasks listed below. The percentages indicate the relative weight of each major topic area on the exam. The higher the percentage, the more questions you are likely to see on that content area on the exam. View video tutorials about the variety of question types on Microsoft exams.

Please note that the questions may test on, but will not be limited to, the topics described in the bulleted text.

Do you have feedback about the relevance of the skills measured on this exam? Please send Microsoft your comments. All feedback will be reviewed and incorporated as appropriate while still maintaining the validity and reliability of the certification process. Note that Microsoft will not respond directly to your feedback. We appreciate your input in ensuring the quality of the Microsoft Certification program.

If you have concerns about specific questions on this exam, please submit an exam challenge.

If you have other questions or feedback about Microsoft Certification exams or about the certification program, registration, or promotions, please contact your Regional Service Center.

Manage cases and the knowledge base (25-30%)
Create and manage cases
Work with the case list and views; search for case records; create a new case record; understand fields on a default case form; analyze business process flows; convert activities to cases; understand the case resolution process; use case routing rules; use case creation rules
Create and manage the knowledge base
Search for articles; associate an article with a case; use knowledge base articles to help resolve cases; create, manage, and maintain knowledge base article templates; create, modify, and publish knowledge base articles; format articles; attach knowledge base articles to email messages

Manage queues, entitlements, and service level agreements (SLAs) (25-30%)
Create and manage queues
Understand system queues and personal queues; create and maintain queues; add cases and activities to queues; work with queue items; implement case routing
Create and manage entitlements
Create and maintain entitlement templates; create a new entitlement; add entitlement lines; associate products; associate entitlement channels; associate an SLA; activate an entitlement; renew an entitlement
Create and manage SLAs
Understand standard and enhanced SLAs; create SLA actions and details; use SLAs on-demand; manage cases with SLAs; manage service scheduling, interactive service hub, and the unified service desk

Manage service scheduling, interactive service hub, and the unified help desk (20-25%)
Implement and manage service scheduling
Understand service scheduling scenarios; understand the service scheduling process flow; define and manage resources; implement customer service schedules; create and manage resource groups; define sites, holiday schedules, and services; schedule service activities in the service calendar; manage service activities
Work with the interactive service hub and the unified service desk
Work with single-stream and multi-stream dashboards; manage queues and cases from streams; create interactive dashboards; understand the unified service desk; understand integrated agent desktop components

Work with FieldOne and surveys and perform service management analysis (20-25%)
Perform service management analysis
Use Microsoft Power BI service dashboards; work with the service calendar; work with service reports; work with service dashboards; work with system charts for cases; understand service metrics and goals; create goals for case records
Use FieldOne with service management
Understand FieldOne functionality; identify reasons to automate the field service organization; identify the benefits of using FieldOne
Work with surveys
Understand survey distribution options; create and configure surveys; capture responses

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Published: January 22, 2016
Languages: English, Chinese (Simplified), French, German, Japanese, Spanish
Audiences: Information workers
Technology: Microsoft Dynamics CRM
Credit toward certification: Specialist

Skills measured
This exam measures your ability to accomplish the technical tasks listed below. The percentages indicate the relative weight of each major topic area on the exam. The higher the percentage, the more questions you are likely to see on that content area on the exam. View video tutorials about the variety of question types on Microsoft exams.

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Manage Microsoft Dynamics CRM components and the product catalog (24%)
Manage Dynamics CRM sales management components
Understand different record types; create, maintain, and use sales literature; create, maintain, and use competitors; understand sales territories; manage currency configurations; understand social engagement
Manage the product catalog
Understand the role of the product catalog and price lists; manage unit groups; manage products; manage price lists; manage discount lists; manage currencies; create product families and properties; manage product bundles; view products in hierarchical charts

Manage leads, opportunities, and sales (30%)
Manage leads
Understand the role of lead and opportunity records; understand the lead to the opportunity process flow; use the lead to the opportunity process form and the process ribbon; track leads; convert activity records to leads
Manage opportunities
Create and manage opportunities; manage opportunity records; connect competitors to opportunities; view resolution activities; work with opportunities from views; add a contact to an opportunity
Manage the sales order process
Add line items to opportunities; create and add write-in products and opportunities; select alternate price lists for opportunities; understand the process of the quotes life cycle; manage quotes; work with orders; work with invoices; convert quotes to orders and convert orders to invoices

Manage metrics and perform sales analysis (23%)
Manage metrics and goals
Configure sales metrics; configure fiscal periods; create and assign goal records; define parent and child records; create and recalculate parent and child goal records; create rollup queries
Perform sales analysis
Use built-in reports; export sales information to Microsoft Excel; work with charts and dashboards; work with system charts from an opportunity list; create dashboards; share dashboards and charts; perform advanced find queries; work with Microsoft Power BI dashboards

Integrate Microsoft Dynamics CRM with other products (22%)
Configure email integration
Configure email server synchronization; configure server settings, server profiles, and mailbox configurations; migrate to server-side synchronization; configure synchronization options; configure email client integration; use folder tracking; use the Dynamics CRM app for Outlook
Configure collaboration
Configure Microsoft SharePoint integration; set up SharePoint documents; use SharePoint documents; use Skype and Skype for Business with Dynamics CRM; use Microsoft Yammer with Dynamics CRM; use Office Groups with Dynamics CRM
Configure Office productivity
Work with Excel; export to Excel; work with Power BI; analyze data with Power BI; visualize data with Excel and Power BI to create an immersive experience; configure OneNote integration; use OneNote with Dynamics CRM


QUESTION 1
You work for a hotel chain.
You integrate Dynamics CRM and Microsoft Social Engagement.
You need to identify which sources are available for Microsoft Social Engagement.
What are two possible sources? Each correct answer presents a complete solution.

A. Twitter
B. Facebook
C. Trip Advisor
D. Instagram

Answer: A,B


QUESTION 2
You manager needs to view a collection of data records and a chart of the data records simultaneously. What should you instruct the manager to do?

A. Define a view and add a chart
B. Export the Fetch XML. and then import a chart.
C. Run the Report Wizard.
D. Create a personal report.

Answer: C


QUESTION 3
You have a Dynamic CRM organization that has more than 700 active goals.
At the end of each year, your company reevaluates each goal.
You need to identify which value of the goals must be configured manually.
Which value should you identity?

A. Actual
B. target
C. Rollup Query – Actual
D. In-Progress
E. Rollup Query – In Process

Answer: B

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