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QUESTION NO: 1
What is the connection type for communication between the SAP LT Replication Server and the non-SAP source system?

A. TRFC
B. Web service
C. QRFC
D. Database

Answer: D

QUESTION NO: 2
Which user must have SELECT privilege with the grant option on the data schema?

A. ADM
B. SYSTEM
C. _SYS_BIC
D. _SYS_REPO

Answer: D

QUESTION NO: 3
What is the purpose of the save point process in SAP HANA?

A. Save logs to persistent storage when a transaction is committed.
B. Free up memory by saving less frequently used data to persistent storage.
C. Save changed data and logs to persistent storage on a regular basis.
D. Save changed data to persistent storage when a transaction is committed.

Answer: C

QUESTION NO: 4
Which of the following are recovery types in SAP HANA database? (Choose two)

A. Recovery with incremental backup
B. Recovery until cancel
C. Full recovery
D. Point in time recovery

Answer: C,D

QUESTION NO: 5
Which of the following must be running to view SAP HANA Diagnosis Files if the SAP HANA database is offline?

A. sapstartsrv
B. SMD Agent
C. r3trans
D. disp+work

Answer: A

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QUESTION NO: 1
Which types of calendar are available for time attribute views in SAP HANA? (Choose two)

A. Fiscal
B. Factory
C. Gregorian
D. Julian

Answer: A,C

QUESTION NO: 2
Which of the following operations can you use when you create a calculation view using the SAP HANA studio graphical interface? (Choose two)

A. PROJECTION
B. UNION
C. INTERSECT
D. INSERT

Answer: A,B

QUESTION NO: 3
Which data store type is recommended for write-intensive scenarios?

A. Row store
B. Column store
C. Object store
D. Table store

Answer: A

QUESTION NO: 4
Which delivered role is mandatory for a system administrator in SAP HANA?

A. SYS_ADMIN
B. CONTENT_ADMIN
C. SAP_ALL
D. IC MODELER

Answer: B
QUESTION NO: 5
What is the purpose of the savepoint process in SAP HANA?

A. Save changed data to the persistent storage when a transaction is committed.
B. Save logs to persistent storage when a transaction is committed.
C. Save changed data and logs to the persistent storage on a regular basis.
D. Free-up memory by saving less used data to the persistent storage.

Answer: C

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QUESTION NO: 1
Which periodic review process allows a role owner to remove roles from the users?

A. UAR Review
B. SoD Review
C. Firefighter Log Review
D. Role Certification Review

Answer: A

QUESTION NO: 2
You want to assign an owner when creating a mitigating control. However, you cannot find the user you want to assign as an owner in the list of available users.
What could be the reason?

A. The user is already assigned as an owner to another mitigating control.
B. The workflow for creating a mitigating control has not yet been approved.
C. The user is locked.
D. The user has not been assigned as an owner in the organizational hierarchy.

Answer: D

QUESTION NO: 3
Which report types require the execution of batch risk analysis? (Choose two)

A. Ad-hoc risk analysis reports
B. Offline risk analysis reports
C. User level simulation reports
D. Access rules detail reports
E. User and role analysis dashboards

Answer: B,E

QUESTION NO: 4
Where can you define a mitigating control? (Choose three)

A. In the mitigating controls workset in Access Control
B. In the rule setup in Access Control
C. In the Access Control risk analysis result screen
D. In the central process hierarchy in Process Control
E. In the activity setup in Risk Management

Answer: A,C,D

QUESTION NO: 5
You have created a new end-user personalization (EUP) form.
Where can you make use of this EUP form? (Choose two)

A. In a stage configuration of a workflow
B. In an organizational assignment request
C. In a template-based request
D. In a model user request

Answer: A,C

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QUESTION NO: 1
For which scenario is it impossible to use the work status?
A. To allow or disallow a user to modify data
B. To lock a region of data in an Application
C. To lock a step in a Business Process Flow
D. To track the status of a planning process

Answer: C

QUESTION NO: 2
What interfaces can you use during the step Define Action when setting up a BPF?
A. Manage Books, BPC Web, BPC for Word
B. BPC Administration, BPC for Excel, BPC for Word
C. Data Audit, BPC for Excel, BPC for PowerPoint
D. Journal, BPC for Excel, BPC for Word

Answer: D

QUESTION NO: 3
What fields are required to eliminate the investment when using the ‘All Formula’?
Note: There are 2 correct answers to this question.
A. Source Account
B. Destination Group Account
C. Destination Equity Account
D. Destination Minority Interest
E. Destination All Account

Answer: A,E

QUESTION NO: 4
What settings do you need for Source Account to calculate the liability account ‘annual net income’ (ANI)?
A. Expense, Destination Account = Revenue and ANI, do not reverse sign
B. Revenue and Cost, Destination Account = ANI, do not reverse sign
C. Revenue and Cost, Destination Account = ANI, reverse sign
D. Expense, Destination Account = Revenue and ANI, reverse sign

Answer: B

QUESTION NO: 5
What value is used in the destination flow column of the currency conversion business rule when there is no subtable type dimension in the Application?
A. Same as in the destination account column
B. Same as in the source account rate type column
C. Same as in the source flow column
D. Same as in the formula column

Answer: C

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QUESTION NO: 1
You are working with a previously saved document and you have deleted a logical operator.
Which two methods can you use to recover the logical operator? (Choose two.)

A. Rebuild the filters.
B. Click the Undo button in the Query panel.
C. From the Tools menu, select Recover Operator.
D. Close the Query panel without executing and then open the query.

Answer: A,D

QUESTION NO: 2
Which option can you use to convert a table block into a chart in Web Intelligence Rich Client?

A. Right-click thetable block and select “Turn To”
B. Click Format > Charts and select “Convert to Chart”
C. Right-click the table block and select “Convert to Chart”
D. Click Tools > Charts and select “Change Table to Chart”

Answer: A

QUESTION NO: 3
Which method should you use to group query filters together to form one AND statement?

A. Drag the queries together
B. Drag the query filters to the Group panel
C. Select the filters, right-click and select Group
D. Select the filters,then click the Group Filters button on the toolbar

Answer: A

QUESTION NO: 4
Where is a Web Intelligence variable stored?

A. In the cell
B. In the document
C. In the Metadata Cube
D. In the Central Management Server (CMS)

Answer: B

QUESTION NO: 5
Which two break properties can you use when setting Break Priority? (Choose two.)

A. Order Breaks
B. Vertical Breaks
C. Crosstab Breaks
D. Horizontal Breaks

Answer: B,D

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QUESTION NO: 1
You receive a customer message where several issues are reported.
What will be your next step?

A. Ask the customer to create one message per issue.
B. Ask your colleagues for processing this message.
C. Solve all issues in the message, because it is beneficial for customers to report several issues in one message.
D. Start message processing without contacting the customer.

Answer: A

QUESTION NO: 2
What is the characteristic of a system when defined as a subset of the installation in SAP
systems? (Choose two)

A. A system corresponds to production, test AND development environment.
B. A system is identified using a system ID.
C. One system can be a child to multiple installations.
D. A system corresponds to either production, test OR development environment.

Answer: B,D

QUESTION NO: 3
What is the recommended way to progress a message that is difficult to clarify?

A. Escalate the message immediately to a more senior support consultant.
B. Ask the client to provide screenshots and request information point by point.
C. Change the message status to Customer Action and tell the client that you cannot do much until more information is provided.
D. Force the client to close the message and open a new one that is clearer.

Answer: B

QUESTION NO: 4
What does priority in incident management mean?

A. It is an attribute of the customer’s system.
B. It is an attribute that characterizes the urgency of an issue.
C. It is an attribute of the Service Desk.
D. It defines the importance of the customer for SAP.

Answer: B

QUESTION NO: 5
What characterizes On the Job Enablement sessions?

A. They are workshops coordinated by the Partner Services Adviser (PSA).
B. They are open workshops.
C. They are not available to Channel partners.
D. They are chargeable add-ons.

Answer: A

 

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QUESTION NO: 1
You are developing a data warehouse as part of a large development team (ten plus developers)
Way should you recommend a multi-user configuration? (Choose two)

A. Attach documentation based on object history
B. Ensure only one developer is working on a specific set of objects
C. Store table column and relationship profile data including history
D. Track the version history history of objects(audit trrail)

Answer: B,D

QUESTION NO: 2
In which three objects can you include a try/catch block? (Choose three)

A. Data Flow
B. Job
C. Script
D. Work Flow

Answer: B,C,D

QUESTION NO: 3
How do you create multiple instances of the same Data Flow?

A. Right-click+Replicate on the Data Flow in the Local Object Library
B. Right-click_Copy/Paste Data Flow from the Job wrorkspace
C. Right-click_Copy/Paste Data Flow in the Local Object Library
D. Right-click+Replicate Data Flow from the Job workspace

Answer: A

QUESTION NO: 4
Your sales order fact table load contains a reference to a customer _id not found in the customer dimension table. How can you replace the customer_id with a default value and preserve the original record using the Validation transform?

A. Select “Exists in table” and “Action On Failure I Send to Both”, select “For Pass, substitute with”.
B. Select “Exists in table” and “Action On Failure I Send to Fail”, select “For Pass, substitute with”.
C. Select “In” option and “Action On Failure I Send to Both”, select “For pass, substitute with”.
D. Select “In” option and “Action On Failure I Send to Fail”, select “For pass, substitute with”.

Answer: A

QUESTION NO: 5
When you read an XML schema into the Local Object Library, which three types of XM metadata are imported? (Choose three)

A. Attributes
B. Data Types
C. Elements
D. Styles

Answer: A,B,C

 

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C_BOCR_08
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QUESTION NO: 1
You define a financial statement version in two steps: (Choose Two)

A. Enter in the directory of financial statement versions
B. Define hierarchy levels and assign accounts
C. None of the above

Answer: A,B

QUESTION NO: 2
Which of the following statements about financial reporting are correct?

A. When displaying a financial statement, the system can automatically calculate the profit and loss statement result.
B. You can obtain a summarized financial statement for any hierarchy level defined in the financial statement version
C. A financial statement version cannot include more than one company code, unless you are using FI-LC
D. A financial statement version displays either a balance sheet or a profit and lost statement, not both.
E. The system can translate a financial statement into any currency for reporting purposes.

Answer: E

QUESTION NO: 3
Which of the following statements are correct? (Choose Three)

A. A house bank can be assigned to a business area within the payment program configuration
B. A House bank account can be defined in more than one currency
C. The payments program can use a different House bank for each different payment method
D. When creating a House bank, you do not need to specify the country.
E. House bank master data must be created in advance, before assigning the House bank to a payment method in the payment program configuration

Answer: A,C,E

QUESTION NO: 4
An account group (multi) (Choose Three)

A. Is defined for every company code.
B. Defines the number range for a mater record.
C. Uses a field status group to control the field layout for the maintenance of mater records
D. Determines one-time accounts for accounts payable and accounts receivable.

Answer: B,C,D

QUESTION NO: 5
Which of following statements are correct?

A. The customer master data comparison program compares which master records are already created in financial accounting but not yet created in sales and distribution.
B. The customer master data compares the customers in the legacy system with the customers in the R/3 System.
C. The customer master data comparison program compares which master records are already created in purchasing but not yet in sales and distribution.
D. The customer mater data comparison program checks whether the customer master record contains a telephone number.

Answer: A

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QUESTION NO: 1
Which are the correct series of steps in the payment program?
A. CD Maintain parameters, Proposal run, Printing Payment Media, Execute a payment run CD.
B. Proposal run, Maintain parameters, Printing Payment Media, Execute a payment run CD.
C. Proposal run, Execute a payment run, Printing Payment Media, Maintain parameters CD.
D. Maintain parameters, Printing Payment Media, Proposal run, Execute a payment run CD.
E. Maintain parameters, Proposal run, Execute a payment run, Printing Payment Media.

Answer: E

QUESTION NO: 2

Instead of the classic system monitoring of individual system components; with Solution Monitoring, entire business processes can be monitored as a whole across multiple components.
Identify the three components that define the concept of Solution Monitoring:
A. User Level management
B. Business Process Monitoring
C. System Monitoring
D. Service Level Management
E. Component Solution Monitoring

Answer: B,C,D

QUESTION NO: 3
What is the purpose of account determination in the accrual engine? (There are 2 correct answers to this question.)
A. To determine the CO object
B. To determine the correct posting period.
C. To determine the document type
D. To determine debit and credit accounts.

Answer: C,D

QUESTION NO: 4
Identify the steps in the ASAP (Accelerated SAP) Methodology.
A. Roll out
B. Go Live & Support
C. Final Preparation
D. Realization
E. Project Preparation
F. Business Blueprint

Answer: B,C,D,E,F

QUESTION NO: 5
Every company code may define its own document number ranges
A. Fales
B. True

Answer: B