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IBM C2020-706 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Financial Statement Reporting Concepts | - Financial reporting structure and statements - Disclosure and regulatory reporting requirements |
| IBM Cognos Architecture and Components | - Cognos Analytics architecture overview - Content Manager and dispatcher services - Report Studio and authoring tools |
| 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 |
| Security and Governance | - User authentication and authorization - Report access control and permissions |
IBM Cognos Financial Statement Reporting Developer Sample Questions:
You have the administrator role and want to give a user special administrative tasks. Which three tasks can be granted to the user role by the administrator? (Choose three.)
- A. Add query to Excel.
- B. Audit report.
- C. Modify properties of an object.
- D. Assign tasks to user.
- E. Create sections for the report.
FSR users at a company are using a 1 inch margin throughout their report. The users want to maintain a standard margin for all Excel tables. What will the FSR users at the company need to do?
- A. All the objects are created with a standard 625 pixel count.
- B. All the tables should be created in one Excel object.
- C. Page Setup margins in each Excel object will need to be manually set to 1 inch.
- D. Each Excel object has ##RS and ##RE tags around the print range.
An end-user at a company is concerned about the validity of the amounts throughout the report. Within FSR, which rule can be used to reconcile the accuracy of the numbers in the report?
- A. The checks must be performed manually by the user.
- B. The user can use the audit trail feature to reconcile the numbers in the report.
- C. The user can create a validation rule to verify the accuracy of the amounts in the report.
- D. The user can create a workflow rule to ensure that the numbers match in the report.
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. Right-click on the top Account node and select "Export Accounts".
- B. Click the "Export Journal Entries" button in the Journal Entries pane of the Account Hierarchy interface.
- C. Click the "Export Accounts" button at the top of the Account Hierarchy interface.
- D. Click the "Refresh" button at the top of the Account Hierarchy interface.
Upon generating the balance sheet Excel object, an end-user realizes that the generated balance sheet object is not generated with the line items containing zeros. Why does this happen?
- A. FSR automatically suppresses the line items with zeros.
- B. Dollar ($) signs need to be placed in separate columns.
- C. The line items containing zeros need to be merged.
- D. The items do not have the ##NL and ##SL in the column.



