- A
Define intercompany transaction pairs
Why wrong: Intercompany transaction pairs only define relationships but do not generate automatic entries.
- B
Use intercompany journal posting
Why wrong: Intercompany journal posting is manual and does not automate balancing entries.
- C
Configure intercompany accounting setup
Intercompany accounting setup automates the creation of balancing journal entries between legal entities.
- D
Set up consolidation groups
Why wrong: Consolidation groups are used for reporting, not for automatic balancing entries.
Quick Answer
The answer is to configure intercompany accounting setup. This configuration is correct because it enables Dynamics 365 Finance to automatically generate balancing journal entries when transactions are posted between legal entities, ensuring that each entity’s books remain in balance without manual intervention. On the Microsoft Dynamics 365 Fundamentals ERP MB-920 exam, this question tests your understanding of intercompany process automation versus manual or consolidation tools; a common trap is confusing intercompany accounting setup with intercompany journal posting, which requires manual entry, or with consolidation, which combines financial statements after the fact. Remember that automatic balancing is a setup feature, not a posting action—think of it as the “auto-pilot” for intercompany reconciliation. A useful memory tip: “Setup for balance, posting for entry” helps distinguish the configuration from the manual journal process.
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.
A multinational corporation uses Dynamics 365 Finance with multiple legal entities. The company needs to streamline the intercompany reconciliation process. They want to automatically generate balancing journal entries when transactions are posted between entities. Which configuration should be used to meet this requirement?
Answer choices
Why each option matters
Answer the question above first, then reveal the full breakdown to understand why each option is right or wrong.
Correct answer & explanation
Configure intercompany accounting setup
Intercompany accounting setup allows automated balancing entries. Consolidation is for combining financial statements, not automatic balancing. Intercompany journal posting is a manual process. Intercompany transaction pairs are used for matching transactions but do not automatically generate balancing entries. Option A is correct.
Key principle: NAT direction and interface roles matter as much as the IP address mapping. Inside/outside designation controls which traffic is translated.
Answer analysis
Option-by-option breakdown
For each option: why learners choose it and why it is or isn't the right answer here.
- ✗
Define intercompany transaction pairs
Why it's wrong here
Intercompany transaction pairs only define relationships but do not generate automatic entries.
- ✗
Use intercompany journal posting
Why it's wrong here
Intercompany journal posting is manual and does not automate balancing entries.
- ✓
Configure intercompany accounting setup
Why this is correct
Intercompany accounting setup automates the creation of balancing journal entries between legal entities.
Related concept
Static NAT maps one inside address to one outside address.
- ✗
Set up consolidation groups
Why it's wrong here
Consolidation groups are used for reporting, not for automatic balancing entries.
Common exam traps
Common exam trap: NAT rules depend on direction and matching traffic
NAT is not only about the public address. The inside/outside interface roles and the ACL or rule that matches traffic are just as important.
Detailed technical explanation
How to think about this question
NAT questions usually test address translation, overload/PAT behaviour, static mappings and whether the right traffic is being translated. Read the interface direction and address terms carefully.
KKey Concepts to Remember
- Static NAT maps one inside address to one outside address.
- PAT allows many inside hosts to share one public address using ports.
- Inside local and inside global describe the private and translated addresses.
- NAT ACLs identify traffic for translation, not always security filtering.
TExam Day Tips
- Identify inside and outside interfaces first.
- Check whether the scenario needs static NAT, dynamic NAT or PAT.
- Do not confuse NAT matching ACLs with normal packet-filtering intent.
Key takeaway
NAT direction and interface roles matter as much as the IP address mapping. Inside/outside designation controls which traffic is translated.
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. NAT direction and interface roles matter as much as the IP address mapping. Inside/outside designation controls which traffic is translated. 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.
Review the four NAT address types (inside local, inside global, outside local, outside global), PAT port overload, and static vs dynamic NAT use cases. Then practise related MB-920 NAT questions on configuration and troubleshooting.
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Describe Dynamics 365 Finance — study guide chapter
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Describe Dynamics 365 Finance practice questions
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FAQ
Questions learners often ask
What does this MB-920 question test?
Describe Dynamics 365 Finance — This question tests Describe Dynamics 365 Finance — Static NAT maps one inside address to one outside address..
What is the correct answer to this question?
The correct answer is: Configure intercompany accounting setup — Intercompany accounting setup allows automated balancing entries. Consolidation is for combining financial statements, not automatic balancing. Intercompany journal posting is a manual process. Intercompany transaction pairs are used for matching transactions but do not automatically generate balancing entries. Option A is correct.
What should I do if I get this MB-920 question wrong?
Review the four NAT address types (inside local, inside global, outside local, outside global), PAT port overload, and static vs dynamic NAT use cases. Then practise related MB-920 NAT questions on configuration and troubleshooting.
What is the key concept behind this question?
Static NAT maps one inside address to one outside address.
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Last reviewed: Jun 21, 2026
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