Microsoft Axapta 3.0 Financials MB6-203 Certified Exam Dumps

MB6-203 Exam Dumps

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Certification Provider: Microsoft
Exam Code / Number: MB6-203
Exam Name: Axapta 3.0 Financials
Exam Questions: 194
Last Updated: Jul 12, 2026
Corresponding Certification: Microsoft Business Solutions

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Microsoft MB6-203 Exam Syllabus Topics:

SectionWeightObjectives
General Ledger25%- Ledger Transactions and Closing
  • 1. Journal entry processing
    • 2. Period-end and year-end closing
      • 3. Allocations and accruals
        - Ledger Setup and Configuration
        • 1. Chart of accounts setup
          • 2. Posting profiles and definitions
            • 3. Fiscal calendars and periods
              • 4. Journal setup and controls
                Fixed Assets15%- Asset Management
                • 1. Disposal, transfer, and adjustments
                  • 2. Acquisition and capitalization
                    • 3. Depreciation calculation and posting
                      - Asset Setup
                      • 1. Asset groups and parameters
                        • 2. Depreciation profiles and methods
                          Accounts Payable20%- Vendor Setup and Management
                          • 1. Vendor records and groups
                            • 2. Payment terms and methods
                              - Payable Transactions
                              • 1. Vendor reconciliation
                                • 2. Invoice entry and approval
                                  • 3. Payment processing and settlements
                                    Cash and Bank Management12%- Bank Operations
                                    • 1. Cash transactions and transfers
                                      • 2. Bank reconciliation process
                                        - Bank Setup
                                        • 1. Payment formats and reconciliation rules
                                          • 2. Bank accounts and transaction types
                                            Financial Reporting and Budgeting8%- Budgeting
                                            • 1. Budget vs actual comparison
                                              • 2. Budget setup and entry
                                                - Financial Statements and Inquiries
                                                • 1. Financial analysis and reporting tools
                                                  • 2. Balance sheet and income statement
                                                    Accounts Receivable20%- Customer Setup and Management
                                                    • 1. Credit terms and limits
                                                      • 2. Customer records and groups
                                                        - Receivable Transactions
                                                        • 1. Sales invoicing and adjustments
                                                          • 2. Cash receipts and collections
                                                            • 3. Customer reconciliation


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