2014年6月7日星期六

P2140-021 Exam Tests, C2020-706 Free download, C2020-605 Exam Cram

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P2140-021Exam Code: P2140-021
Exam Name: IBM Rational Collaborative Lifecycle Management for IT Technical Sales Mastery Test v1
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C2020-706Exam Code: C2020-706
Exam Name: IBM Cognos Financial Statement Reporting Developer
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C2020-605Exam Code: C2020-605
Exam Name: IBM Cognos 10 Controller Developer
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NO.1 An administrator is creating a standard data entry form for end users. On which tab must the
administrator specify the type of information that will be shown on the rows and columns of the form?
A. Axes tab
B. Reorder tab
C. Process Layouts tab
D. Lock tab
Answer: A

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NO.2 How can an administrator validate company structures to ensure that they meet the application's rules.?
A. Verify Structures menu
B. Verify Companies menu
C. Company structure log file
D. Consolidation structures log file
Answer: A

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NO.3 When importing external data files using import specification, which of the following are compulsory
fields in the upload file?
A. Period, Consolidation Type. Company, Submission, Account, Amount
B. Period, Actuality, Company, Currency, Account, Amount
C. Period, Actuality,Company,Consolidation Type, Account, Amount
D. Period,Submission, Company,Currency,Account, Amount
Answer: B

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NO.4 End users report data on a weekly basis. They want to be able to work with as many weeks as possible
in a single fiscal year. When configuring the application, what is the maximum number of weeks that an
administrator can specify for a year?
A. 52
B. 53
C. 12
D. 13
Answer: B

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NO.5 Why is the offset account for certain investment elimination control tables the same?
A. So that investment and intercompany eliminations are able to perform the same calculations
B. So that automatic journals make a zero sum in the offset account in the consolidated group
C. So that currency conversion is easily performed and reconciled in the consolidated group
D. So that when the administrator copies opening balances to another period, the administrator can
reconcile and differences
Answer: B

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NO.6 The administrator has generated a group adjustment company (GAC). Which of the following actions
will a user be able to perform with the GAC?
A. Eliminate investments using automatic journals
B. Enter reported value adjustments using a data entry form
C. Enter data into group journals
D. Create company journals
Answer: C

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NO.7 Which of the following tools could be used to load data into the Controller staging tables?
A. IBM Controller Import Specification wizard
B. IBM Cognos Data Manager
C. IBM Cognos Configuration
D. IBM Cognos Controller Excel Link
Answer: B

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NO.8 In the diagrams below, a journal entry for Cash (account B100000, an asset account in the balance
sheet) and External Reserves (account R100_000, a cost account in the income statement) is recorded in
the amount of 100. The balance sheet in the Journals Across report does not balance anymore because
Total Assets (account B450000) has a value of 1200 and Total Liabilities and Equity (account B750000)
has a value of 1100. What caused the difference between the Total Assets and Total Liabilities and Equity
accounts?
A. The company journal type, US GAAP, should credit account B711000 for 100.
B. Balance Sheet for Net Income in the general configuration should be B711000.
C. In the general configuration, no value has been specified in the Other Difference for Automatic
Journals field
D. Net Income (Non-integrated) in the general configuration should be B711000.
Answer: B

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