2014年8月5日星期二

Guide de formation plus récente de IBM A2050-219 C2170-011

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Code d'Examen: A2050-219
Nom d'Examen: IBM (Assessment: IBM Sterling Order Management V9.1 Deployment)
Questions et réponses: 104 Q&As

Code d'Examen: C2170-011
Nom d'Examen: IBM (IBM Curam V6.0.4 Business Analysis and Design)
Questions et réponses: 40 Q&As

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NO.1 While installing the IBM Sterling Selling and Fulfillment Suite in the GUI mode, the installation fails with
an error indicating a user permission issue on the database schema. On researching the issue, it is
discovered that the user has not been granted "CREATE TABLE" permission on the schema. The
database administrator who can provide access is not accessible until the end of the week. Which
statement is true regarding the application installation procedure.?
A. The installation has to be rerun from the beginning after the permission has been granted to the user.
B. The IBM Sterling Selling and Fulfillment Suite should be re-installed with the option to use the database
bundled along with it.
C. The installation can be run in a mode such that it does not connect to the database and the database
scripts can be run later when thepermission issue is resolved.
D. Since the issue is only a permissions issue, the installation can be run with a parameter in the silent file
so it would ignore such errors andcomplete the installation successfully.
Answer: C

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NO.2 A company wants to run the schedule agent in multiple environments each having different provider
URL values for their JMS queues. However, they do not wish to modify the agent configuration on each
environment to the corresponding provider URL value. How can this be achieved?
A. Set the provider_url value in the sandbox.cfg file on each environment correctly.
B. Set the value of the yfs.agent.override.providerurl property in the jms.properties file.
C. Set the value of the yfs.agent.override.providerurl property in the servers.properties file.
D. Override the value of the yfs.yfs.agent.override.providerurl property in the
customer_overrides.properties file.
Answer: D

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NO.3 A service provider offers installation and haul away services for appliances and furniture. The services
are offered by two teams, each specializing in either appliances or furniture. On receiving a request for a
service, the service provider would like to use the closest team to the customer that also has the relevant
skills. How can this requirement be achieved?
A. The ship node servicing the customer's shipping address should be stamped as the "ServiceNode" on
the service order line.
B. The installation and haul away items should be modeled as service items in the catalog and Sourcing
rules for provided services should beconfigured.
C. The installation and haul away should be modeled as accessories to the main product (appliance and
furniture) so the sourcing rules for theproduct will also look for capacity for the accessories.
D. The service items should be defined in the catalog along with their association with the main product
(appliance and furniture). The sourcingrules for the product item will then automatically identify the right
ship node that can offer the service.
Answer: B

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NO.4 Due to an enterprise-wide license agreement, a company uses a database from a particular vendor. The
database to be used for development is supported per the System_Requirements_Guide.pdf. The testing,
staging, and production deployments are however going to use a different database (from a different
vendor), which is also a supported database. Which statement is true about this situation?
A. The IBM Sterling Selling and Fulfillment Suite allows for the databases to be different between
development, testing, staging and productiondeployments.
B. Since the IBM Sterling Selling and Fulfillment Suite uses standard JDBC to connect to the database,
questions around compatibility ofdatabases must be directed to the database vendors.
C. Even though it might work, the IBM Sterling Selling and Fulfillment Suite deployment will be supported
by IBM only if the database used forproduction remains the same as the one used for development.
D. The IBM Sterling Selling and Fulfillment Suite deployment contains code that is database specific;
therefore, it is not advisable to use differentdatabase providers between development and production
environments.
Answer: A

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NO.5 An organization is using the Service Builder to create a service for transforming data from one format
to the other (EDI to XML). However, they are unable to do so as they encounter errors while trying to save
the service. Which two options may be responsible for this?
A. A transport node is missing.
B. A component node is missing.
C. An API component exists without System Arguments specified.
D. An API component exists without the template file name specified.
E. All required properties on all nodes and links do not have values specified.
Answer: B,E

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NO.6 Which two segment types are provided in IBM Sterling Selling and Fulfillment Suite?
A. Made to fulfill
B. Made to order
C. Made to stock
D. Made to demand
E. Made to customer
Answer: B,E

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NO.7 A customer credit card has been authorized with an authorization expiration date of September 28.
The order does not get settled before September 28 and the payment configurations are as shown below.
On which date will the IBM Sterling Selling and Fulfillment Suite raise a reauthorization request?
A. September 27A.September 27
B. September 28B.September 28
C. September 29C.September 29
D. September 30D.September 30
Answer: A

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NO.8 A customer places an order of amount $100. As per their business rules, if the payment method is credit
card the retailer has to authorize the credit card by contacting the payment gateway for the complete
order amount before the order can be scheduled. Which execution step needs to be completed for the
payments on the order to be authorized and the details stored against the order?
A. The managePaymentTerms API needs to be invoked with the appropriate order and payment
information in the input.
B. The executePaymentTransactions API needs to be invoked with the appropriate order and payment
information in the input.
C. The Payment Collection, Payment Execution and Payment Collection transactions should be executed
in that sequence for the order.
D. The payment status on the order has to be manually changed to UTHORIZED?from the Sterling Selling
and Fulfillment Foundation console.
Answer: C

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