The answer is GeneralJournalAccountEntry. This is the correct data entity because the data management framework export job configuration in Dynamics 365 Finance explicitly references it under the "DataEntity" field, and this entity is specifically designed to export the detailed line-level accounting entries for general journal postings, capturing the debit and credit distributions. On the Microsoft Dynamics 365 Fundamentals ERP MB-920 exam, this question tests your ability to read a data export job setup and distinguish between entities like GeneralJournalEntry (the header) and GeneralJournalAccountEntry (the lines). A common trap is confusing the header entity with the account-level entity, but remember that "AccountEntry" always points to the individual ledger lines. For a quick memory tip, think "AccountEntry = Account Lines" to avoid selecting the header-only entity.
MB-920 Describe Dynamics 365 Finance Practice Question
This MB-920 practice question tests your understanding of describe dynamics 365 finance. This is a configuration task: choose the command set that satisfies every stated requirement. Small differences — like 'secret' vs 'password' or 'transport input ssh' vs 'all' — change whether the answer is correct. After answering, compare your reasoning against the explanation and wrong-answer breakdown below. Once you have made your selection, read the full explanation to reinforce the concept and understand why each distractor is designed to mislead on exam day.
Exhibit
Refer to the exhibit.
{
"DataEntity": "GeneralJournalAccountEntry",
"Fields": ["MainAccount", "TransactionCurrency", "AmountInTransactionCurrency", "PostingLayer", "AccountingDate"],
"Filter": "PostingLayer eq 'Current' and AccountingDate ge 2025-01-01"
}
You are using the data management framework to export general journal entries from Dynamics 365 Finance. The exhibit shows a data export job configuration. Which data entity is being exported?
Answer the question above first, then reveal the full breakdown to understand why each option is right or wrong.
Correct answer & explanation
✓
GeneralJournalAccountEntry
The exhibit clearly shows "DataEntity": "GeneralJournalAccountEntry", so that is the entity being exported. Option C is correct. Option A is wrong because it is a different entity. Option B is wrong because it is for ledger dimensions. Option D is wrong because it is for transactions.
Key principle: Answer the scenario, not the keyword: identify the specific constraint before choosing the most familiar-sounding option.
Answer analysis
Option-by-option breakdown
For each option: why learners choose it and why it is or isn't the right answer here.
✗
DimensionSetEntry
Why it's wrong here
DimensionSetEntry is for financial dimension values, not journal entries.
✗
GeneralJournalTransaction
Why it's wrong here
GeneralJournalTransaction is not a standard data entity name in Dynamics 365 Finance.
✗
GeneralJournalEntry
Why it's wrong here
GeneralJournalEntry is a different data entity that does not include account-level details.
✓
GeneralJournalAccountEntry
Why this is correct
The configuration specifies "DataEntity": "GeneralJournalAccountEntry".
Related concept
Read the scenario before looking for a memorised answer.
Common exam traps
Common exam trap: answer the scenario, not the keyword
Many certification questions include familiar terms but test a specific constraint. Read the exact wording before choosing an answer that is generally true but wrong for this case.
Detailed technical explanation
How to think about this question
This question should be treated as a scenario, not a definition check. Identify the problem, the constraint and the best action. Then compare each option against those facts.
KKey Concepts to Remember
Read the scenario before looking for a memorised answer.
Find the constraint that changes the correct option.
Eliminate answers that are true in general but not in this case.
Use explanations to understand the rule behind the answer.
TExam Day Tips
→Underline the problem statement mentally.
→Watch for words such as best, first, most likely and least administrative effort.
→Review why wrong options are wrong, not only why the correct option is correct.
Key takeaway
Answer the scenario, not the keyword: identify the specific constraint before choosing the most familiar-sounding option.
Real-world example
How this comes up in practice
A cloud solutions architect for a retail company is evaluating services for a new workload. The correct answer here reflects best practice for the specific scenario described — not a general cloud recommendation. Answer the scenario, not the keyword: identify the specific constraint before choosing the most familiar-sounding option. Cloud exam questions reward reading the constraint carefully: the same technology can be right or wrong depending on the use case.
What to study next
Got this wrong? Here's your next step.
Identify which MB-920 exam domain this question belongs to, then review the specific concept being tested. Practise related questions in that domain and focus on understanding why each wrong answer is tempting — not just why the correct answer is right.
Describe Dynamics 365 Finance — This question tests Describe Dynamics 365 Finance — Read the scenario before looking for a memorised answer..
What is the correct answer to this question?
The correct answer is: GeneralJournalAccountEntry — The exhibit clearly shows "DataEntity": "GeneralJournalAccountEntry", so that is the entity being exported. Option C is correct. Option A is wrong because it is a different entity. Option B is wrong because it is for ledger dimensions. Option D is wrong because it is for transactions.
What should I do if I get this MB-920 question wrong?
Identify which MB-920 exam domain this question belongs to, then review the specific concept being tested. Practise related questions in that domain and focus on understanding why each wrong answer is tempting — not just why the correct answer is right.
What is the key concept behind this question?
Read the scenario before looking for a memorised answer.
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Variation 1. Refer to the exhibit. The SQL-like query is used to retrieve data from Dynamics 365 Finance. What does this query return?
medium
A.All general journal entries for a specific main account.
✓ B.Main accounts with total debits greater than 10,000, ordered by total descending.
C.Main accounts with total amounts less than 10,000, ordered ascending.
D.All main accounts with any activity in 2025.
Why B: Option B is correct. The query selects MainAccount and sum of Amount from GeneralJournalEntry for a specific date range, groups by MainAccount, filters groups with total amount > 10000, and orders by total descending. Option A is wrong because it does not filter by a specific account. Option C is wrong because it returns only accounts with total > 10000. Option D is wrong because it is not ordered ascending.
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Question Discussion
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