Question 264 of 966
Describe Dynamics 365 FinancemediumMultiple ChoiceObjective-mapped

Quick Answer

The answer is that a vendor payment was posted to the wrong vendor account. This is correct because a negative balance in the Accounts Payable account indicates that credits (payments) have exceeded debits (invoices) for that vendor, meaning money was sent out without a corresponding purchase or invoice to offset it. When a payment is applied to the wrong vendor, the subledger shows a credit balance for that vendor, but the general ledger still reflects the payment as a liability reduction, causing the trial balance not to balance due to misalignment between the subledger detail and the GL account. On the MB-920 exam, this scenario tests your understanding of how subledger postings impact the general ledger and trial balance, often appearing as a troubleshooting question where you must identify the root cause of an imbalance. A common trap is assuming the issue is a data entry error in the invoice amount rather than a misapplied payment. Memory tip: “Wrong vendor, wrong balance—payments without invoices create negative accounts payable.”

MB-920 Describe Dynamics 365 Finance Practice Question

This MB-920 practice question tests your understanding of describe dynamics 365 finance. Read the scenario carefully and evaluate each option against the stated constraints before committing to an answer. 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 company using Dynamics 365 Finance notices that the trial balance does not balance because the 'Accounts Payable' account has a negative balance. What could be the reason?

Question 1mediummultiple choice
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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

A vendor payment was posted to the wrong vendor account

A negative balance in the Accounts Payable account typically indicates that credits (payments) exceed debits (invoices) for a vendor. Posting a vendor payment to the wrong vendor account creates a credit balance in the intended vendor's subledger without a corresponding invoice, causing the trial balance to be out of balance because the general ledger account reflects the payment but the subledger detail is misaligned.

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.

  • A prepayment invoice was posted without a purchase order

    Why it's wrong here

    Why C is wrong

  • A vendor payment was posted to the wrong vendor account

    Why this is correct

    Why D is correct

    Related concept

    Read the scenario before looking for a memorised answer.

  • Intercompany transactions were posted incorrectly

    Why it's wrong here

    Why B is wrong

  • A bank reconciliation was not performed

    Why it's wrong here

    Why A is wrong

Common exam traps

Common exam trap: answer the scenario, not the keyword

The trap here is that candidates often assume a negative AP balance is caused by a data entry error like a prepayment or intercompany issue, but the specific symptom of a trial balance not balancing points to a subledger-to-general ledger mismatch, which is exactly what posting a payment to the wrong vendor creates.

Detailed technical explanation

How to think about this question

In Dynamics 365 Finance, the Accounts Payable account is a control account that aggregates subledger transactions from vendor invoices and payments. When a payment is posted to the wrong vendor, the system updates the general ledger with the correct debit to cash and credit to AP, but the subledger shows the credit against the wrong vendor, leaving the correct vendor's balance unaffected and the wrong vendor with a negative balance. This discrepancy is detected when running the trial balance because the subledger detail does not match the general ledger control account.

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.

TExam Day Tips

  • 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 exam domain this question belongs to, review the core concept, then practise similar questions from the same domain.

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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 — Read the scenario before looking for a memorised answer..

What is the correct answer to this question?

The correct answer is: A vendor payment was posted to the wrong vendor account — A negative balance in the Accounts Payable account typically indicates that credits (payments) exceed debits (invoices) for a vendor. Posting a vendor payment to the wrong vendor account creates a credit balance in the intended vendor's subledger without a corresponding invoice, causing the trial balance to be out of balance because the general ledger account reflects the payment but the subledger detail is misaligned.

What should I do if I get this MB-920 question wrong?

Identify which exam domain this question belongs to, review the core concept, then practise similar questions from the same domain.

What is the key concept behind this question?

Read the scenario before looking for a memorised answer.

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Same concept, more angles

1 more ways this is tested on MB-920

These questions test the same concept from different angles. Work through them to make sure you can recognise it however the exam phrases it.

Variation 1. A company's finance team reports that in the general ledger, the balance for the 'Office Supplies' account shows a credit balance of $500, but they expected a debit balance. What is the most likely cause of this discrepancy?

hard
  • A.The period close process was run without finalizing
  • B.A voucher was posted with the wrong debit/credit sign
  • C.A reversing entry was posted incorrectly
  • D.A financial dimension was incorrectly assigned

Why B: In Dynamics 365 Finance, the general ledger account for 'Office Supplies' is an expense account, which normally carries a debit balance. A credit balance indicates that a voucher was posted with the wrong debit/credit sign, such as entering a negative amount or selecting the wrong account type during transaction entry. This is the most common cause of a balance sign reversal in an expense account.

Last reviewed: Jun 11, 2026

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This MB-920 practice question is part of Courseiva's free Microsoft certification practice question bank. Courseiva provides original exam-style practice questions with explanations, topic-based practice, mock exams, readiness tracking, and study analytics to help learners prepare for the MB-920 exam.