You are the system administrator of dynamics AX 2009. In Microsoft Dynamics AX 2009, in order to run the
currency exchange adjustment for a ledger account through General Ledger, what setup is selected in the
Chart of accounts form to achieve this?
You are the system administrator of dynamics AX 2009. Your company uses Microsoft dynamics AX 2009.
In your company, the Controller plans to post all administration related transactions using a specific daily
journal with department 10, cost center 1010, and purpose P010 regardless of the amount. In Microsoft
Dynamics AX 2009, how is this achieved?
You are the system administrator of dynamics AX 2009. Your company uses Microsoft dynamics AX 2009.
In your company, the Controller must manage the depreciation of their fixed assets. For the purpose of
company accounting, the Reducing balance depreciation method is used. But different depreciation
methods are used for the purpose of tax reporting, according to the tax authority. Without posting the ledger
transactions to the ledger accounts in Microsoft Dynamics AX 2009, where must the Accountant post the
fixed asset information for tax reporting purposes only?
You are the system administrator of dynamics AX 2009. In Microsoft Dynamics AX 2009, in order to create
a row structure in the Structure designer form, what are the row type options available to achieve this?
(choose more than one)
You are the system administrator of dynamics AX 2009. In Microsoft Dynamics AX 2009, In order to
process Centralized payments, what are the prerequisite setups required for achieving this? (choose more
than one)
You are the system administrator of dynamic s AX 2009. Microsoft Dynamics AX 2009 allows creating
many companies and defining intercompany relationships. In Microsoft Dynamics AX 2009, when a
transaction is posted through an intercompany accounting daily journal, how many journals are posted?
You are the system administrator of dynamics AX 2009. Your company uses Microsoft dynamics AX 2009.
In your company, the Financial Controller plans to generate financial statements. The statements should
report on each of the ledger accounts with cost center dimensions in different columns. In Microsoft
Dynamics AX 2009, how is this achieved?
You are the system administrator of dynamic s AX 2009. In Microsoft Dynamics AX 2009, Period allocation
can be set in which of the following units in the Period Allocation Key form? (choose more than one)
You are the system administrator of dynamics AX 2009. Your company uses Microsoft dynamics AX 2009.
In your company, there's a ledger account which is named Selling. The ledger account has a balance of
100,000. Every month, your company wants to allocate 50% of the remaining balance for this account, and
50% to another account, named Expense of Products Sold [EOPS]. On June 1, the budget for the Selling
account is se t to 100,000, with a set up that, on July 1, the budget for the Selling account is 50,000, and
50, 000 for the EOPS account. On August 1, the budget for the Selling account is -75,000 and 75,000 for
the EOPS account. In order to get the above result in Microsoft Dynamics AX 2009, how is the setup for the
ledger account, selling, done in the budget form?