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IBM C2020-706 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Installation and Configuration | 20% | - Security and user management - Database setup and configuration - System requirements and supported environments - Installing and upgrading FSR |
| Workflow and Process Management | 15% | - Review and approval processes - Defining and managing workflows - Version control and rollover |
| Report Design and Creation | 30% | - Building report structures and sections - Working with Excel and Word objects - Including notes, disclosures, and charts - Formatting financial statements |
| Advanced Features and Troubleshooting | 10% | - Exporting and publishing reports - XBRL reporting functionality - Diagnosing and resolving common issues |
| Data Management | 25% | - Importing and loading data - Using variables and query objects - OLAP and relational data integration - Connecting to data sources |
IBM Cognos Financial Statement Reporting Developer Sample Questions:
A user is creating a new FSR report and they are presented with a screen called "Global Variables". They have an option to fill in the physical and logical fields. What would happen if those values are left blank?
- A. Users will not be able to log into the report.
- B. The report cannot be created.
- C. The report will be created properly.
- D. Users will receive all zero amounts when loading data from a relational database.
An individual requests more information on the Account Hierarchy. Which statement is correct?
- A. The Account Hierarchy is used to create validation rules for an FSR report.
- B. The Account Hierarchy is used to create workflow rules in an FSR report.
- C. The Account Hierarchy interface is used to create a hierarchical structure of your accounts.
- D. The Account Hierarchy is used to track the changes of an FSR report.
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. Delete the journal entry and create a new one.
- 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. Click the Reverse Journal Entry button.
When setting up a Word object, what are three document types? (Choose three.)
- A. Table
- B. Normal
- C. Image
- D. Header
- E. Footer
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 1.
- B. Insert a Page Break at the end of the footnote 1 Word object.
- C. Change Break Type to New Page and set # Pages to 0.
- D. Change Break Type to Blank Rows and set # Rows to 0.






