Question 51

A company is implementing Dynamics 365 Finance.
The company wants to automate expense reports processing. The new process must provide visibility into all steps of the approval process.
You need to recommend a solution.
Which two solutions should you recommend? Each correct answer presents a complete solution.
NOTE: Each correct selection is worth one point.
  • Question 52

    You plan the migration from Dynamics AX 2012 R3 to a Dynamics 365 for Finance and Operations environment.
    You will be using Lifecycle Services (LCS) and the tools provided with it.
    You need to clean up data, review and configure SQL optimizations, and identify deprecated features in your code.
    What tool should you use?
  • Question 53

    A professional services company implements Dynamics 365 Finance using the FastTrack Success by Design framework.
    You need to describe the various phases of the implementation to company stakeholders.
    In which phase is the activity performed? To answer, drag the appropriate phases to the correct activities. Each phase 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.

    Question 54

    An organization has implemented the accounts payable module in Dynamics 365 Finance.
    Corporate policy specifies the following:
    * Managers and directors are allowed to approve invoices for payment.
    * Users are allowed to delegate their signing authority to other users when they are out of the office.
    * Accounts payable workflow will be used to assist in automating the signing process.
    * Users whose job has signing authority can approve invoices for payment.
    You need to meet the organization's corporate policy. What should you recommend?
  • Question 55

    A company is determining which reporting tools to use as part of a Dynamics 365 Finance implementation.
    Scenario A: Power users must use a free form tool to allow other power users to leverage transactional data to be consumed externally.
    Scenario B: Developers must use a modeling tool to allow all users to leverage aggregated data to be consumed internally.
    Scenario C: Developers must a free form tool to allow all users to leverage transactional and aggregated data to be consumed internally and externally.
    Scenario D: Power users must use a free form tool to allow all users to leverage aggregated data to be consumed internally and externally.
    Scenario E: Power users must use a modeling tool to allow other power users to leverage transactional data to be consumed externally.
    You need to recommend which tool should be used for each scenario.
    Which tool should you recommend? To answer, select the appropriate options in the answer area.
    NOTE: Each correct selection is worth one point.