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| Section | Objectives |
|---|---|
| Topic 1: Security and Governance | - User authentication and authorization - Report access control and permissions |
| Topic 2: Data Modeling and Querying | - Data sources and query relationships - Framework Manager models |
| Topic 3: Financial Statement Reporting Concepts | - Disclosure and regulatory reporting requirements - Financial reporting structure and statements |
| Topic 4: IBM Cognos Architecture and Components | - Report Studio and authoring tools - Content Manager and dispatcher services - Cognos Analytics architecture overview |
| Topic 5: Report Development and Design | - Bursting and distribution techniques - Creating financial statement reports - Layouts, prompts, and filters |
Question 1
What are two primary reasons for a client to install the FSR Web Service application?
(Choose two.)
A. The client would like to take some of the processing load off of the database server.
B. The client would like to use a service account for Authentication instead of using Active Directory groups to grant permissions against the databases.
C. The FSR Web Service is mandatory and must be installed to use the product.
D. The client would like to prevent users from directly accessing the FSR databases using their Active Directory IDs.
Question 2
You want to connect to an external Excel file using the data load method.Which two selections should you perform to accomplish this? (Choose two.)
A. The range selected should only contain what is needed for the report.
B. The range should contain links to multiple Excel spreadsheets and multiple workbook sheets outside of FSR.
C. The ranges should contain as many V-Lookup formulas as possible.
D. The range of numbers should be rounded at the source Excel file externally from FSR if possible.
Question 3
An FSR user would like to export all of the accounts in the Account Hierarchy interface for a particular set of dimensions. After selecting the dimensions in the Dimensions Pane, how can the user export these accounts?
A. Click the "Export Accounts" button at the top of the Account Hierarchy interface.
B. Click the "Export Journal Entries" button in the Journal Entries pane of the Account Hierarchy interface.
C. Click the "Refresh" button at the top of the Account Hierarchy interface.
D. Right-click on the top Account node and select "Export Accounts".
Question 4
A user has certain objects tagged as custom group "Q1", but they should be tagged as "Q2/Q3" only. How can this be resolved?
A. Navigate to each individual object, click on the "Set Customized Group" icon, deselect "Q1" and select "Q2/Q3" from the list.
B. In the Status by Object table in the Report Summary node, highlight the objects and change the group from "Q1" to "Q2/Q3".
C. Navigate to each individual object, click on the "Set Customized Group" icon and select "Q2/Q3' from the list.
D. Select the objects in the Section Pane, right-click, and select "Q2/Q3".
Question 5
What are two ways to optimize report performance when dealing with variables? (Choose two.)
A. Combine multiple validation checks within one ##R validation rule.
B. Ensure you are implementing chain linking.
C. Maximize the number of variables used rather than use Excel cell referencing where possible.
D. Use block variables rather than individual cell variables when pulling multiple items from one table.
Solutions:
| Question 1 Answer: B,D | Question 2 Answer: A,D | Question 3 Answer: A | Question 4 Answer: A | Question 5 Answer: A,D |
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