New (2022) Microsoft MB-500 Exam Dumps
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NEW QUESTION 47
DRAG DROP
You are a Dynamics 365 Finance developer for a company that sells pre-owned vehicles. When the company acquires a new vehicle, vehicle identification (VIN) numbers are added to the VIN field in the CustTable.
You need to create an event handler to validate that new VIN values are at least 10 characters long. Validation must occur when records are saved.
Which three 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.
Select and Place:
Answer:
Explanation:
Explanation:
Step 1: Add the event handler method to a class.
Step 2: Copy the validateWrite event handler on the CustTable object.
validateWrite is published Table method. ValidatingWriting is the preceeding event.
Step 3: Add code to perform the validation.
Incorrect Answers:
validatingWrite is not a published Table method.
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/extensibility/customization-overlayering- extensions
NEW QUESTION 48
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 are adding a new field to the SalesTable form.
You must use an extension to add a status field onto the form.
You need to create the extension in the Application Object Tree (AOT) and add the extension to the demoExtensions model.
Solution: Navigate to the Visual Studio user interface forms extensions section for the SalesTable form and create an extension.
Does the solution meet the goal?
- A. Yes
- B. No
Answer: A
Explanation:
Explanation/Reference:
https://stoneridgesoftware.com/how-to-extend-sales-order-update-functionality-to-custom-fields-in-d365- finance-and-operations/
NEW QUESTION 49
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 create a new form in a project.
You need to display tabs in a vertical alignment.
Solution: Apply the Details Master pattern.
Does the solution meet the goal?
- A. Yes
- B. No
Answer: A
Explanation:
Explanation/Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/user-interface/details-master-form- pattern
NEW QUESTION 50
You are a Dynamics 365 Finance developer.
You need configure table caching.
Which CacheLookup properties should you use? To answer, drag the CacheLookup properties to the correct table. Each property 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: FoundAndEmpty
All selects on caching keys are cached, including selects that are not returning data.
All caching key selects are returned from caching if the record exists there, or the record is marked as nonexistent in the cache. A select forUpdate in a transaction forces reading from the database and replaces the record in the cache.
An example of FoundAndEmpty record caching is in the Discount table in the Microsoft Dynamics AX standard application. By default, the Discount table has no records. By using a FoundAndEmpty cache on this table, the keys that are queried for but not found are stored in the cache. Subsequent queries for these same non-existent records can be answered from the cache without a round trip to the database.
Box 2: NotInTTS
All successful caching key selects are cached.
When in a transaction (after ttsBegin), no caches made outside the transaction are used. When inside a transaction, the record is read once from the database and subsequently from the cache. The record is select-locked when reading in a transaction, which ensures that the record cached is not updated while the transaction is active.
A typical example of the NotInTTS property is on the CustTable in the Microsoft Dynamics AX application. It is acceptable to read outdated data from the cache outside a transaction, but when data is used for validation or creating references, it is ensured that the data is real-time.
Box 3: EntireTable
Creates a set-based cache on the server. The entire table is cached as soon as at least one record is selected from the table. An EntireTable cahce is flushed whenever an insert, update or delete is made to the table. So first select read all records from DB for the selected company and all the further selects will take data from the cache instead of DB calls.
Box 4: Found
All successful caching key selects are cached. All caching key selects are returned from the cache if the record exists there. A select forUpdate in a transaction forces reading from the database and replaces the record in the cache.
This is typically used for static (lookup) tables, such as Unit, where the record usually exists.
Reference:
http://gautamax.blogspot.com/2017/01/cache-lookup-property-of-table-in-ax.html
NEW QUESTION 51
You are creating a new form in Visual Studio.
You need to apply the Simple List pattern and apply the pattern to a form.
What are the two possible ways to achieve the goal? Each correct answer presents a complete solution.
NOTE: Each correct selection is worth one point.
- A. Use the designer.
- B. Use metadata properties.
- C. Use form statistics.
- D. Use the Application Object Tree (AOT).
Answer: A,D
NEW QUESTION 52
You need to investigate the Vendor exclusion list issue.
What should you do?
- A. Navigate to the Page options tab, select Record Info, and then select Show all fields.
- B. Navigate to the General tab, select Record Info, and then select Show all fields.
- C. Navigate to the Options tab, select Record Info, and then select Show all fields.
- D. Navigate to the Options tab and select Database log.
Answer: D
Explanation:
Scenario: A sales manager suspects a data-related issue in the vendor exclusion list. User1 must identify the user who created the referenced exclusion records.
Database logging is a feature in D365FO which helps us to track inserts, updates, and deletes on the intended tables provided if we are fine with the overhead of extra logging for every database operation on enabled tables.
Reference:
https://community.dynamics.com/365/financeandoperations/b/daxology/posts/database-logging-setup-ind365fo
NEW QUESTION 53
You need to modify the environment to meet User1's requirements.
What should you do?
- A. Use Open Designer to add the field to the table.
- B. Create a new table named CashDiscExtension in the project.
- C. Create an overlayer of CashDisc in a new project and add the field.
- D. Create an extension of CashDisc in a new project and add the field to the extended table,
Answer: D
Explanation:
Scenario: A sales manager suspects a data-related issue in the vendor exclusion list. User1 must identify the user who created the referenced exclusion records.
NEW QUESTION 54
A user reports that a form takes a long time to load. You suspect that the issue relates to a display method.
You need to resolve the issue.
Which actions should you perform? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.
Answer:
Explanation:
Explanation:
Box 1: Yes
The caching will avoid executing the display method unnecessarily.
To improve the performance of a display method, you can cache the method.
Box 2: No
Box 3: No
Box 4: No
Reference:
https://docs.microsoft.com/en-us/dynamicsax-2012/developer/using-the-display-method-modifier
NEW QUESTION 55
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 are developing a form for Dynamics 365 Finance.
You need to add a button that allows users to run a report.
Solution: Create an action menu item. Add the action menu item to the form button and then link the report to the action menu item.
Does the solution meet the goal?
- A. Yes
- B. No
Answer: A
Explanation:
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/user-interface/action-controls
NEW QUESTION 56
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 57
A company has a cloud-based Dynamics 365 Finance environment and uses an e-commerce website for retail operations. The website has business to business (B2B) capabilities. The company uses a middleware integration tool to process data.
You must create a batch job to automate some operations. The batch job must be able to process several thousand transactions in each run.
You need to configure the environment.
Which tools should you use? To answer, drag the appropriate tools to the correct requirements. Each tool may be used once, more than once, or not at all. You may need to drag the split bar between panes or scroll to view content.
NOTE: Each correct selection is worth one point.
Answer:
Explanation:
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/data-entities/recurring-integrations
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/data-entities/data-management-api
NEW QUESTION 58
You are a Dynamics 365 Finance developer.
You need configure table caching.
Which CacheLookup properties should you use? To answer, drag the CacheLookup properties to the correct table. Each property 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: FoundAndEmpty
All selects on caching keys are cached, including selects that are not returning data.
All caching key selects are returned from caching if the record exists there, or the record is marked as nonexistent in the cache. A select forUpdate in a transaction forces reading from the database and replaces the record in the cache.
An example of FoundAndEmpty record caching is in the Discount table in the Microsoft Dynamics AX standard application. By default, the Discount table has no records. By using a FoundAndEmpty cache on this table, the keys that are queried for but not found are stored in the cache. Subsequent queries for these same non-existent records can be answered from the cache without a round trip to the database.
Box 2: NotInTTS
All successful caching key selects are cached.
When in a transaction (after ttsBegin), no caches made outside the transaction are used. When inside a transaction, the record is read once from the database and subsequently from the cache. The record is select-locked when reading in a transaction, which ensures that the record cached is not updated while the transaction is active.
A typical example of the NotInTTS property is on the CustTable in the Microsoft Dynamics AX application. It is acceptable to read outdated data from the cache outside a transaction, but when data is used for validation or creating references, it is ensured that the data is real-time.
Box 3: EntireTable
Creates a set-based cache on the server. The entire table is cached as soon as at least one record is selected from the table. An EntireTable cahce is flushed whenever an insert, update or delete is made to the table. So first select read all records from DB for the selected company and all the further selects will take data from the cache instead of DB calls.
Box 4: Found
All successful caching key selects are cached. All caching key selects are returned from the cache if the record exists there. A select forUpdate in a transaction forces reading from the database and replaces the record in the cache.
This is typically used for static (lookup) tables, such as Unit, where the record usually exists.
Reference:
http://gautamax.blogspot.com/2017/01/cache-lookup-property-of-table-in-ax.html
NEW QUESTION 59
You are a Dynamics 365 Finance developer.
You need to add a new status named InTransit to the SalesTable.SalesStatus field and use the status in code.
What should you do? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.
Answer:
Explanation:
Reference:
https://docs.microsoft.com/sv-se/dynamics365/fin-ops-core/dev-itpro/extensibility/modify-existing-field
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/extensibility/extensible-enums
NEW QUESTION 60
You create the following cloud-based Dynamics 365 Finance environments:
A developer creates code extensions in the Development environment. The developer checks the code changes into an Azure DevOps branch.
You need to deploy the code changes to the Standard Acceptance Test environment.
What should you do? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.
Answer:
Explanation:
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/database/dbmovement-scenario-exportuat#back-up-to-the-asset-library
NEW QUESTION 61
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 are developing a form for Dynamics 365 Finance.
You need to add a button that allows users to run a report.
Solution: Create an output menu item. Add the output menu item to the form button and then link the report to the output menu item.
Does the solution meet the goal?
- A. No
- B. Yes
Answer: A
Explanation:
Instead create an action menu item.
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/user-interface/action-controls
NEW QUESTION 62
You need to develop, test, and deploy the Vendor Exclusion list solution.
What should you create? To answer, drag the appropriate objects to the correct actions. Each element may be used once, more than once, or not at all. You may need to drag the split bar between panes or scroll to view content.
NOTE: Each correct selection is worth one point.
Answer:
Explanation:
Explanation
Box 1: package
An AOT package is a deployment and compilation unit of one or more models that can be applied to an environment. It includes model metadata, binaries, reports and other associated resources. One or more AOT packages can be packaged into a deployable package, which is the vehicle used for deployment of code (and customizations) on demo, sandbox, and production environments.
Box 2: New model
Model - You configure your model to refer to two other models. This enables your model to reference metadata and code elements that are in other packages.
Box 3: project
Project - You create a project and then associate your project to your new model. You add elements to your project, which are also added to your model. Specifically, you add an extended data type (EDT). You also add a table that you populate with fields and a method.
Box 4: deployable package
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/dev-tools/create-data-model-elements
NEW QUESTION 63
Note: This question is part of a scries 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 create a new form in a project.
You need to display tabs in a vertical alignment.
Solution: Apply the Details Master pattern.
Does the solution meet the goal?
- A. No
- B. Yes
Answer: A
Explanation:
Explanation
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/dev-itpro/user-interface/section-tabbed-list-subpatter
NEW QUESTION 64
You need to set up a recurring integration to enable file exchanges between Dynamics 365 Finance and a third-party system.
In which order should you perform the actions? To answer, move all actions from the list of actions to the answer area and arrange them in the correct order.
Answer:
Explanation:
NEW QUESTION 65
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:
NEW QUESTION 66
You are a Dynamics 365 Finance developer.
Users must be able to view a filtered customer list from within a workspace.
You need to add the customer form to a workspace.
Which four actions should you perform in sequence? To answer, move the appropriate actions from the list of actions to the answer area and arrange them on the correct order.
Answer:
Explanation:
Explanation
Step 1:Open the customer form and apply filters to the grid.
To add a list to a workspace, first sort or filter the list on the page so that it shows the information as you want it to appear in the workspace.
Step 2: Select the General menu item then select Add to workspace
This workspace will be selected in step 3.
Step 3: Select the Options actions pane tab and then select Add to workspace.
For some pages that include lists, the Add to workspace personalization feature is available in the Personalize group on the Options tab of the Action Pane. This feature lets you push relevant information from the current list to a specific workspace.

Step 4: Select Configure
After you select Configure, a dialog box appears, where you can select the columns that should appear in the list in the workspace.
Reference:
https://docs.microsoft.com/en-us/dynamics365/fin-ops-core/fin-ops/get-started/personalize-user-experience
NEW QUESTION 67
A company uses Dynamics 365 Finance.
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:
NEW QUESTION 68
You have a Dynamic 365 Finance environment.
You have the following code: (Line number are included for reference only.)
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:
NEW QUESTION 69
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Microsoft MB-500 Practice Test Questions, Microsoft MB-500 Exam Practice Test Questions
The Microsoft MB-500 exam is designed for the future or current developers who are working or planning to work with the Finance and Operations apps in Microsoft Dynamics 365 to implement and extend these apps to follow the business requirements and successfully complete them. This test is part of the Microsoft Certified: Dynamics 365: Finance and Operations Apps Developer Associate certification, which also comes with the Microsoft MB-300 exam.
Updated Verified Pass MB-500 Exam - Real Questions and Answers: https://www.examtorrent.com/MB-500-valid-vce-dumps.html
Dumps Moneyack Guarantee - MB-500 Dumps Approved Dumps: https://drive.google.com/open?id=1lpvPMMD3RXInNnjkROMaAoUUcTOcjvuL
