[Dec 12, 2021] MB-500 PDF Questions and Testing Engine With 127 Questions [Q33-Q57]

Share

[Dec 12, 2021] MB-500 PDF Questions and Testing Engine With 127 Questions

Updated Exam Engine for MB-500 Exam Free Demo & 365 Day Updates


Microsoft Dynamics 365 Finance and Operations Apps Developer Exam Certification Details:

Exam NameMicrosoft Certified - Dynamics 365 - Finance and Operations Apps Developer Associate
Exam Price$165 (USD)
Number of Questions40-60
Passing Score700 / 1000
Books / TrainingMB-500T00-A: Microsoft Dynamics 365: Finance and Operations Apps Developer
Sample QuestionsMicrosoft Dynamics 365 Finance and Operations Apps Developer Sample Questions
Schedule ExamPearson VUE
Exam CodeMB-500
Duration120 mins


The MB-500 exam is also known as the Microsoft Dynamics 365: Finance and Operations Apps Developer exam. It’s one of the two tests that lead you to earning the corresponding certificate which sounds as the Microsoft Certified: Dynamics 365: Finance and Operations Apps Developer Associate certification.

The exam includes the associated tasks that focus on executing and extending applications to satisfy business needs. So, the candidates for MB-500 exam prove their skills to provide solutions while utilizing standardized coding patterns for applications, extensible features, as well as external integrations.

 

NEW QUESTION 33
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 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.

Answer:

Explanation:

Explanation

 

NEW QUESTION 34
You are a Dynamics 365 Supply chain Management developer. Several users check out a custom form version control and modify the form. You need to find the user that has added a specific line of code to the form. What should you do?

  • A. Using Visual Studio, navigate Application Explorer and right-click View History.
  • B. Using Visual Studio, navigate to the object. Add the object to a new solution, and then right-click View History.
  • C. In Solution Explorer, navigate to the object and right-click View History.
  • D. Open the object in Object Designer, select the title of the object, and then right-click View History.

Answer: A

 

NEW QUESTION 35
You need to modify the environment to meet the requirements for the Cash Discount Records report.
What should you do?

  • A. Create a new table named CashDiscExtension in the project.
  • B. Create an extension of CashDisc in a new project and add the field to the extended table.
  • C. Use Open Designer to add the field to the table.
  • D. Create an overlayer of CashDisc in a new project and add the field.

Answer: B

 

NEW QUESTION 36
You are a Dynamics 365 Finance developer.
A report uses a synchronous call based on a saleID value. There are long wait times for the report to complete printing. You must allow the user to continue to work while the report processes and inform the user immediately when the report completes printing.
You need to implement the correct method calls and behavior.
Which code segments should you use? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.

Answer:

Explanation:

Explanation:
Box 1: Global:runAsync
Use runAsync methods on the Global or FormRun classes.
Box 2: container
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/migration-upgrade/deprecated-apis

 

NEW QUESTION 37
The system includes the following code: (Line numbers are included for reference only.)

You need to apply changes to address User2's issues.
For each of the following statements, select Yes if the statement is true. Otherwise, select No.
NOTE: Each correct selection is worth one point.

Answer:

Explanation:

Explanation:
Scenario: User2 reports performance issues when they generate direct delivery purchase orders after current updates are applied.
Also: 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.
Box 1: No
The firstOnly keyword helps speed up the fetch by returning only the first row.
Box 2: No
Box 3: Yes
Box 4: Yes
RecId stands for Record Identifier. It is often called RowId (row identifier). It is a unique and incremental value stored with each and every row of the table. In Microsoft Dynamics AX 2012 and Microsoft Dynamics 365 for Finance and Operations, RecId is used as unique identifiers and to create relations between tables.
Another important point is the difference between RecId and Id. In simple words, RecId is generated by the kernel whereas the Id is generated by the application itself.
RecId is used to find out the unique row in the table.
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/dev-ref/xpp-data-query
https://community.dynamics.com/ax/b/nevoitechax/posts/what-is-recid-in-microsoft-dynamics-ax-365fo

 

NEW QUESTION 38
You have the following class definition:

You need to create an extension class and create a new static method in it that converts miles to kilometers and then call the method from another class.
How should you complete the code and call the method? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.

Answer:

Explanation:

Explanation:
Box 1: final class UnitConv_MyExtension
Box 2: var km = UnitConv::miToKm(62.1371);
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/extensibility/method-wrapping-coc

 

NEW QUESTION 39
Note: This question is part of a series of questions that present the same scenario. Each question in 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 a correct solution.
After you answer a question in this section, you will NOT be able to return to it. As a result, these questions will not appear in the review screen.
You must extend the class SalesLineType and add a new method that returns the day of week for the system's current date as an integer value.
You need to create a class that extends SalesLineType and adds the new method.
Solution: You create the following code:

Does the solution meet the goal?

  • A. No
  • B. Yes

Answer: A

 

NEW QUESTION 40
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.

Answer:

Explanation:

Explanation:
Box 1: Data contract class
A 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 class
Report 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: DataContractAttribute
DataContractAttribute - 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: DataMemberAttribute
DataMemberAttribute - 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: SRSReportParameterAttribute
You 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-report

 

NEW QUESTION 41
A company is migrating from a legacy system to Dynamics 365 Unified Operations.
You need to import the customer data by using the Data Management workspace.
In which order should you perform the actions? To answer, move the appropriate actions from the list of actions to the answer area and arrange them in the correct order.

Answer:

Explanation:

Explanation:
Step 1: Create a new import project.
Step 2: Specify the project category for the import.
Step 3: Specify the Source Data Format.
Step 4: Specify the target entity.
Step 5: Import the source file to the project.
The import process is done through the Import tile in the Data Management workspace.
Import a data package
Log into the environment using a login with sufficient privileges (typically this is the Administrator role).
On the dashboard, click the Data Management workspace.
Click the Import tile.
On the next page, do the following:
Provide a name.
In the Source Data Format field, select Package.
Click the Upload button and choose the appropriate package file from the location for the data being imported. This will import all the files from the package.
Click Save, and then click Import.
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/data-entities/data-entities-data-packages

 

NEW QUESTION 42
You are creating entities that will have unmapped fields.
You need determine which types of unmapped fields to use.
Which field types should you use? To answer, drag the appropriate field types to the correct requirements.
Each field type 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.

Answer:

Explanation:

Explanation

Box 1: Computed
Computed field: Value is generated by an SQL view computed column.
During read, data is computed by SQL and is fetched directly from the view.
Box 2: Computed
Box 3: Virtual
Virtual field:
Is a non-persisted field.
Is controlled by custom X++ code.
Read and write happens through custom X++ code.
Virtual fields are typically used for intake values that are calculated by using X++ code and can't be replaced by computed columns.
Box 4: Virtual
Virtual field is a non-persisted field.
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/data-entities/data-entity-computed-column

 

NEW QUESTION 43
Note: This question is part of a series of questions that present the same scenario. Each question in 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 a correct solution.
After you answer a question in this section, you will NOT be able to return to it. As a result, these questions will not appear in the review screen.
You have an enumeration named truckStatus that has the following statuses:
Empty
Loaded
Completed
You have the following code:

You need to extend this enumeration and add the following statuses to the enumeration: Quarantine, InTransit. You must then modify code that validates the switch statement.
Solution: 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.

Does the solution meet the goal?

  • A. No
  • B. Yes.

Answer: A

 

NEW QUESTION 44
A company uses Dynamics 365 Unified Operations.
You need to implement role-based security for a set of fields in a table.
How should you arrange the security elements? To answer, drag the appropriate security elements to the correct locations. 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.

Answer:

Explanation:

Explanation

The following illustration shows the elements of role-based security and their relationships.
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/sysadmin/role-based-security

 

NEW QUESTION 45
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.

Answer:

Explanation:

Explanation:
Scenario: 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 VendExclusions.
Create an index for the table named PrimaryIdx that uses the following fields: CustAccount, ItemId, 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.
Maintain referential integrity with other tables.
Box 1: a table extension for Vendors and relation for the Vendor exclusions Box 2: RelationShip Type Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/data-entities/develop-composite-data-entities

 

NEW QUESTION 46
You are Dynamics 365 Finance developer.
You need to initialize an embedded Microsoft Power Bl report.
Which code segment should you add to the form initialization method?

  • A. addReportControl(formGroupControl)
  • B. deployorUpdateReport(powerBIConfiguration, reportName, resourceName)
  • C. InitializeReportControl(workspaceName, Formgroup)
  • D. initializeReportControlInternal(powerBIConfiguration, reportparameters, reportControl, showError)

Answer: A

 

NEW QUESTION 47
You have an enumeration named truckStatus that has the following statuses:
* Empty
* Loaded
* Completed
You have the following code:

You need to extend this enumeration and add the following statuses to the enumeration: Quarantine, InTransit. You must then modify code that validates the switch statement.
Solution: Add a post handler to the method that checks the enumeration and logic for your new enumeration values using the enumeration value.

Does the solution meet the goal?
Does the solution meet the goal?

  • A. Yes.
  • B. No

Answer: A

 

NEW QUESTION 48
You are a Dynamics 365 Finance developer. You have the following Extended Data Types (EDTs):

You plan to modify the EDT properties by using an extension.
You need to determine which operations can be performed.
Which operation is possible?

  • A. Create an extension for AccountId and increase the field size.
  • B. Create a derived EDT for AccountId and decrease the field size.
  • C. Create an extension for AccountBase and increase the field size.
  • D. Create an extension for AccountBase and decrease the field size.

Answer: C

Explanation:
You can only set the new String size to a value equal to or larger than the base EDT value.
Incorrect Answers:
B, C: You can only modify the value if the EDT does not extend from another EDT.
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/extensibility/modify-edt

 

NEW QUESTION 49
A company has a Dynamics 365 Finance environment.
You need to implement indices for new tables.
Which types of indexes should you use? To answer, drag the appropriate types of indexes to the correct requirements. Each type of index 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.

Answer:

Explanation:

 

NEW QUESTION 50
You are a Dynamics 365 Finance developer. You have a virtual machine that includes Visual Studio. You need to display the elements by model. What should you do?

  • A. Select Metadata Search from the Dynamics 365 menu.
  • B. Select Model Management from the menu and then select Refresh Models.
  • C. Select Model Management from the menu and then select View all package dependencies
  • D. Right-click the Application Object Tree (AOT) node in Application Explorer and select Model View.

Answer: A

 

NEW QUESTION 51
You are a Dynamics 365 Finance developer. You have a virtual machine that includes Visual Studio. You need to display the elements by model. What should you do?

  • A. Right-click the Application Object Tree (AOT) node in Application Explorer and select Model View.
  • B. Select Model Management from the menu and then select Refresh Models.
  • C. Select Metadata Search from the Dynamics 365 menu.
  • D. Select Model Management from the menu and then select View all package dependencies

Answer: A

Explanation:
Explanation
* In Microsoft Visual Studio, on the Dynamics 365 menu, click Model Management > Refresh Models.
* Open Application Explorer by clicking View > Application Explorer.
* Right-click the AOT root node, and then click Model view.
A list of installed models is displayed.
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/dev-tools/manage-runtime-packages

 

NEW QUESTION 52
Note: This question is part of a series of questions that present the same scenario. Each question in 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 a correct solution.
After you answer a question in this section, you will NOT be able to return to it. As a result, these questions will not appear in the review screen.
You have an enumeration named truckStatus that has the following statuses:
* Empty
* Loaded
* Completed
You have the following code:

You need to extend this enumeration and add the following statuses to the enumeration: Quarantine, InTransit.
You must then modify code that validates the switch statement.
Solution: 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.

Does the solution meet the goal?

  • A. No
  • B. Yes

Answer: A

 

NEW QUESTION 53
You need to implement the payroll application data process.
Which two objects should you create? Each correct answer presents part of the solution.
NOTE: Each correct selection is worth one point.

  • A. an UIBuilder class that extends SysOperationAutomaticUIBuilder
  • B. a service class that has a public method which accepts a single parameter for a contract
  • C. a class that extends SysOperationServiceBase
  • D. a data contract class that uses the DataContractAttribute attribute

Answer: C,D

Explanation:
Explanation
Scenario: You must develop a process to import payroll journals into the system.
A: Data Contract: Data contract class is the model class defining attributes needed for batch operations. These attributes are provided by the user, in a dialog. DataContractAttribute attribute is needed for the class and the properties methods requires DataMemberAttribute attribute.
C: Service: Service class extends from the SysOperationServiceBase class and contains the business logic for the batch operation. Developers often tend to add the business logic in controller classes, which violates the Single responsibility principle.
Reference:
http://daxingwitheshant.blogspot.com/2018/06/sysoperation-framework.html

 

NEW QUESTION 54
Note: This question is part of a series of questions that present the same scenario. Each question in 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 a correct solution.
After you answer a question in this section, you will NOT be able to return to it. As a result, these questions will not appear in the review screen.
You must extend the class SalesLineType and add a new method that returns the day of week for the system's current date as an integer value.
You need to create a class that extends SalesLineType and adds the new method.
Solution: You create the following code:

Does the solution meet the goal?

  • A. No
  • B. Yes

Answer: A

 

NEW QUESTION 55
You are a Dynamics 365 Finance and Operations developer.
You need to use the Extensible Data Security (SDS) framework to restrict to the data in the Sales table form based on the customer group and the role of the user.
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 in the correct order.

Answer:

Explanation:

Explanation

Step 1: Create a new user role and add required privileges.
Individual security permissions are combined into privileges, and privileges are combined into duties. The administrator grants security roles access to the program by assigning duties and privileges to those roles.
Step 2: Assign the newly created role to the user.
Step 3: Define the list of constrained tables.
Add the constrained tables and views.
Step 4: Define the context of the rule.
Set the context.
Set the ContextType property to one of the following:
* ContextString - Set the property to this value if a global context is to be used to determine whether the policy should be applied. When required, this context string needs to be set by the application using the XDS::SetContext API.
* RoleName - Set the property to this value if the policy should be applied only if a user in a specific role accesses the constrained tables.
* RoleProperty - Set the property to this value if the policy is to be applied only if the user is a member of any one of a set of roles that have the ContextString property set to the same value.

Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/sysadmin/security-architecture
https://community.dynamics.com/365/b/exploringdynamics365/posts/extensible-data-security-in-d365

 

NEW QUESTION 56
You are a Dynamics 365 Finance developer. You create an integer variable named totalSales.
You need to display the value from totalSales in an info statement.
Which three code segments can you use? Each correct answer presents a complete solution.
NOTE: Each correct selection is worth one point.

  • A. Option A
  • B. Option B
  • C. Option D
  • D. Option C

Answer: A,C,D

Explanation:
Explanation
A: int2Str converts an integer to the equivalent string.
C: any2Str converts an anytype value to a str value. The anytype data type is a placeholder for any data type.
D: Example:
void MyMethod()
{
for (int i = 0; i < 10; i++)
{
info(strfmt("i is %1", i));
}
}
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/dev-ref/xpp-variables-data-types
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/dev-ref/xpp-data-primitive#anytype

 

NEW QUESTION 57
......


Microsoft MB-500 Exam Syllabus Topics:

TopicDetails

Plan architecture and solution design (10-15%)

Identify the major components of Dynamics 365 Finance and Operations apps- identify the Finance and Operations app modules required for a solution based on business requirements
- identify architectural differences between the cloud and on-premises versions of Finance and Operations apps
- identify components of the application
- differentiate the purposes and interrelationships between packages, projects, models, and elements
Design and implement a user interface- describe the Finance and Operations user interface layouts and components
- design the workspaces
- design and personalize user interface elements including grids, forms, and pages
- configure filtering options
Implement Application Lifecycle Management (ALM) and Lifecycle Services (LCS)- describe the capabilities of the Environment Monitoring Tool within Lifecycle Services (LCS)
- select the purpose and appropriate uses of LCS tools and components
- research and resolve issues by using Issue Search
- identify activities that require asset libraries
- prepare deployment packages and deploy packages

Apply Developer Tools (10-15%)

Customize Finance and Operations apps by using Visual Studio- create extension models
- design and build projects
- manage metadata using Application Explorer
- synchronize data dictionary changes with the application database
- create elements by using the Element Designer
Manage source code and artifacts by using version control- create, check out, and check in code and artifacts
- branch and merge code
- compare code and resolve version conflicts
Implement Finance and Operations app framework functionality- implement the SysOperation framework
- implement the asynchronous framework
- implement the workflow framework
- implement the unit test framework
- identify the need for and implement the Sandbox framework

Design and develop AOT Elements (20-25%)

Create forms- add a new form to a project and apply a pattern (template)
- configure a data source for the form
- add a grid and grid fields, groups, and other controls to a form
- create and populate menu items
- test form functionality and data connections
- add a form extension to a project for selected standard forms
Create and extend tables- add tables to a project
- add table fields and field properties to a table
- add a table extension to a project for a table
- add fields groups, relations, delete actions, and indices
Create Extended Data Types (EDT) and enumerations- add an EDT to a project and populate EDT properties
- add an enumeration to a project
- add or update enumeration elements and enumeration element properties
- add an extension of EDT and enumerations
Create classes and extend AOT elements- add a new class to a project
- create a new class extension and add new methods
- add event handler methods to a class

Develop and test code (10-15%)

Develop X++ code- identify and implement base types and operators
- implement common structured programming constructs of X++
- create, read, update, and delete (CRUD) data
- identify and implement global functions in X++
- implement table and form methods
Develop object-oriented code- implement X++ variable scoping
- implement inheritance and abstraction concept
- implement query objects and the QueryBuilder class
- implement attribute classes
- implement chain of command

Implement reporting (10-15%)

Describe the capabilities and limitations of reporting tools in Dynamics 365 Finance and Operations apps- create and modify report data sources and supporting classes
- implement reporting security requirements
- describe the report publishing process
- describe the differences between using Entity store and Bring your own database (BYOD) as reporting data stores
Design, create, and revise Dynamics reports- create and modify reports in Finance and Operations apps that use SQL Server Reporting Services (SSRS)
- create and modify Finance and Operations apps reports by using Power BI
- create and modify Finance and Operations apps reports FO by using Microsoft Excel
Design, create, and revise Dynamics workspaces- design KPIs
- create drill-through workspace elements
- implement built-in charts, KPIs, aggregate measurement, aggregate dimension, and other reporting components

Integrate and manage data solutions (10-15%)

Identify data integration scenarios- select an appropriate data integration API
- identify differences between synchronous vs. asynchronous patterns
Implement data integration concepts and solutions- develop a data entity by using Visual Studio
- develop, import, and export composite data entities
- identify and manage unmapped fields in data entities
- consume external web services by using OData and RESTful APIs
- integrate Finance and Operations apps with Microsoft Excel by using OData
- develop and integrate Power Automate and Power Apps
Implement data management- import and export data using entities between Finance and Operations apps and other systems
- monitor the status and availability of entities
- enable Entity Change Tracking
- set up a data project and recurring data jobs
- design entity sequencing
- generate field mapping between source and target data structures
- develop data transformations

Implement security and optimize performance (10-15%)

Implement role-based security policies and requirements- create or modify duties, privileges, permissions, and roles
- enforce permissions policies
- implement record-level security by using Extensible Data Security (XDS)
Apply fundamental performance optimization techniques- identify and apply caching mechanisms for forms and tables
- implement the global cache
- create or modify temporary tables for optimization purposes
- determine when to use set-based queries and row-based queries
- modify queries to optimize performance
- modify variable scope to optimize performance
- analyze and optimize concurrency
Optimize user interface performance- capture traces by using TraceParser and analyze traces
- diagnose and optimize client performance by using Microsoft Edge F12 Developer tools, Fiddler, and other common tools
- diagnose and optimize client performance by using Performance Timer

 

Exam Passing Guarantee MB-500 Exam with Accurate Quastions: https://www.actualcollection.com/MB-500-exam-questions.html

Test Engine to Practice Test for MB-500 Valid and Updated Dumps: https://drive.google.com/open?id=1NMmnbH02a3046n8tc6SMLCaUgmxsHE4m