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IBM C2020-706 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Topic 1: Security and Governance | - Report access control and permissions - User authentication and authorization |
| Topic 2: Report Development and Design | - Bursting and distribution techniques - Creating financial statement reports - Layouts, prompts, and filters |
| Topic 3: IBM Cognos Architecture and Components | - Report Studio and authoring tools - Cognos Analytics architecture overview - Content Manager and dispatcher services |
| Topic 4: Data Modeling and Querying | - Data sources and query relationships - Framework Manager models |
| Topic 5: Financial Statement Reporting Concepts | - Financial reporting structure and statements - Disclosure and regulatory reporting requirements |
IBM Cognos Financial Statement Reporting Developer Sample Questions:
1. After generating the entire report, an FSR user realizes that a few of the tables are missing from the report. Which two statements are correct? (Choose two.)
A) The pixel count is incorrect.
B) The tables are missing a few line items.
C) The print option for that object is set to not printable.
D) Print tags ##RS and ##RE are not placed around the printing range.
2. An administrator is working on a quarterly report and needs to add the new custom group "Q2/Q3". Where can the administrator add this new group?
A) in the "Customized Group" table under Administration > Resources
B) in any FSR object of the report, open the "Set Customized Group" icon and add a new group to the list
C) in the Report Summary node of the report
D) the custom group is added to the workflow for the object
3. A company maintains inventory information in a relational database. Which three methods should the company use to extract data into FSR and into the inventory's Excel objects display area? (Choose three.)
A) Use Data Load to load the information
B) Use the insert query function
C) Use variables to pass the data from the query results sheet to the display sheet
D) Use Excel cell referencing to pass the data from the query results sheet to the display sheet
E) Use Query Builder to query the relational database forthe relevant inventories table
4. A user has created a journal entry, but the net difference of the debits and credits is not equal to zero. How can the user adjust the amounts?
A) Export the journal entries, fix the amount in the generated Excel file and re-import the file.
B) Click Edit Journal Entry and edit the debit/credit amount for an entry.
C) Click the Reverse Journal Entry button.
D) Delete the journal entry and create a new one.
5. After successfully installing the FSR client software on a user's desktop, the user is unable to generate any reports. Which two prerequisites, if missed, would cause this behavior? (Choose two.)
A) SQL Server client tools
B) Microsoft Word
C) Microsoft Excel
D) Microsoft PowerPoint
Solutions:
| Question # 1 Answer: C,D | Question # 2 Answer: A | Question # 3 Answer: B,D,E | Question # 4 Answer: B | Question # 5 Answer: B,C |
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