IBM COG-706 exam dumps : IBM Cognos Financial Statement Reporting Developer

  • Exam Code: COG-706
  • Exam Name: IBM Cognos Financial Statement Reporting Developer
  • Updated: Sep 08, 2026     Q & A: 60 Questions and Answers

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IBM COG-706 Exam Syllabus Topics:

SectionObjectives
IBM Cognos Architecture and Components- Content Manager and dispatcher services
- Cognos Analytics architecture overview
- Report Studio and authoring tools
Financial Statement Reporting Concepts- Disclosure and regulatory reporting requirements
- Financial reporting structure and statements
Security and Governance- User authentication and authorization
- Report access control and permissions
Report Development and Design- Creating financial statement reports
- Bursting and distribution techniques
- Layouts, prompts, and filters
Data Modeling and Querying- Framework Manager models
- Data sources and query relationships

IBM Cognos Financial Statement Reporting Developer Sample Questions:

Question 1

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 Report Summary node of the report
B. in the "Customized Group" table under Administration > Resources
C. in any FSR object of the report, open the "Set Customized Group" icon and add a new group to the list
D. the custom group is added to the workflow for the object


Question 2

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. Click the Reverse Journal Entry button.
B. Click Edit Journal Entry and edit the debit/credit amount for an entry.
C. Export the journal entries, fix the amount in the generated Excel file and re-import the file.
D. Delete the journal entry and create a new one.


Question 3

A client is ready to use the "Load Data" function and bring in data with a direct link to their source files. What are the data load menu options to do this?

A. OLAP Cube, Word File, Account Hierarchy, Excel File
B. Query Builder, OLAP Cube, and Relational Database
C. OLAP Cube, Excel File, and Account Hierarchy
D. Query Builder, Account Hierarchy, Word File


Question 4

An administrator would like to configure the e-mail notification message in a workflow between two stages. How can the administrator navigate to the window where the message can be entered?

A. Open Outlook outside of FSR, and compose a draft e-mail to the user.
B. In the workflow, highlight the arrow between the two stages and click the "Edit body of e-mail sent when workflow status changed" icon.
C. In the FSR toolbar of the object, click on the "Send e-mail to assigned user" icon.
D. In the workflow, highlight the arrow between the two stages and click the "Apply condition when status changes" icon.


Question 5

A user sets up a section with two objects. The first Word object is a footnote and the second object is an Excel table. Upon generation of the report, the Excel table appears right after the footnote. What should the user do to move the Excel table to a new page?

A. Change Break Type to New Page and set # Pages to 0.
B. Change Break Type to Blank Rows and set # Rows to 0.
C. Change Break Type to New Page and set # Pages to 1.
D. Insert a Page Break at the end of the footnote 1 Word object.


Solutions:

Question 1
Answer: B
Question 2
Answer: B
Question 3
Answer: C
Question 4
Answer: B
Question 5
Answer: C

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