Last Updated: Jul 25, 2026
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| 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 - Report Studio and authoring tools - Content Manager and dispatcher services |
| Security and Governance | - Report access control and permissions - User authentication and authorization |
| 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 |
1. Validation rules that are created to reconcile the numbers throughout the report automatically bring a report validation screen upon the generation of the entire report. What is another way by which a user can verify the validation of an FSR report?
A) The users can navigate to the report setup for the validations.
B) The users can navigate to the report summary window to validate the report.
C) The users can select Tools > Validate Report.
D) The users can click on Tools > Reference Variables.
2. After an installation is completed, a user tries to log in to the FSR database and is successful. Since the initial database is empty, there are no sample reports to try. During the installation, you were prompted to enter a Demo database. How can this user gain access to the Demo database since it does not appear in the dropdown list when logging into FSR?
A) You will manually need to edit the FSR configuration file to add this entry for each user that will want access to the Demo database.
B) You can only connect to one database at a time; if a second connection is required, you will need to re-run the client installation.
C) The FSR, administrators will have to provide access to the Demo database to this user from the User Admin tool.
D) To add another entry, click on the database and server field and enter the new values.
3. A company maintains inventory information in a relational database. Which three methods should the company use to extract data into FSR and into the inventory's Excel objects display area? (Choose three.)
A) Use Query Builder to query the relational database forthe relevant inventories table
B) Use variables to pass the data from the query results sheet to the display sheet
C) Use the insert query function
D) Use Excel cell referencing to pass the data from the query results sheet to the display sheet
E) Use Data Load to load the information
4. A client has started to load data from an OLAP cube through the "Load Data" function. The client wants to use query variables in the "Year" dimension. Which statement is correct?
A) Check on the allow query variables, input the variables into the file path.
B) Query variables are added and edited in the OLAP data wizard.
C) Query variables are automatically added when connecting to an OLAP cube.
D) Ensure that the query variables are not checked when selecting data from an OLAP cube.
5. 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 receive all zero amounts when loading data from a relational database.
B) Users will not be able to log into the report.
C) The report will be created properly.
D) The report cannot be created.
Solutions:
| Question # 1 Answer: C | Question # 2 Answer: D | Question # 3 Answer: A,C,D | Question # 4 Answer: B | Question # 5 Answer: A |
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