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Last Updated: Jul 24, 2026
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| Section | Objectives |
|---|---|
| Data Modeling for Financial Reporting | - Hierarchies and calculations - Framework Manager / data modules |
| Financial Statement Design and Layout | - Balance sheet and income statement design - Drill-through and navigation techniques |
| Cognos Analytics Fundamentals | - Data connectivity and sources - Cognos architecture and components |
| Financial Statement Reporting Concepts | - Regulatory and compliance reporting basics - Financial reporting structures |
| Report Development in Cognos | - Report creation and formatting - Prompt pages and filters |
1. You want to connect to an external Excel file using the data load method.Which two selections should you perform to accomplish this? (Choose two.)
A) The range of numbers should be rounded at the source Excel file externally from FSR if possible.
B) The range selected should only contain what is needed for the report.
C) The ranges should contain as many V-Lookup formulas as possible.
D) The range should contain links to multiple Excel spreadsheets and multiple workbook sheets outside of FSR.
2. FSR was successfully installed at a client site. All users who will be using the application have been created and are currently using the product. A new user joined the team so a new account was created and flagged as an FSR user. Now all users are receiving "The number of Clarity FSR users exceeds the number of licenses you have purchased" message. What is the problem?
A) The new user has not been given any permissions in SQL Server.
B) The user will need to change the FSR registry key to enable FSR access.
C) The client's license is now being exceeded by the new user.
D) The FSR license needs to be re-applied since there is now a new user.
3. 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) Click Edit Journal Entry and edit the debit/credit amount for an entry.
B) Click the Reverse Journal Entry button.
C) Delete the journal entry and create a new one.
D) Export the journal entries, fix the amount in the generated Excel file and re-import the file.
4. 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 0.
B) Change Break Type to New Page and set # Pages to 1.
C) Change Break Type to Blank Rows and set # Rows to 0.
D) Insert a Page Break at the end of the footnote 1 Word object.
5. A company compiled its 2010 Q2 quarterly report using an OLAP data source and a query variable for the quarter. They are now performing a rollover from the 2010 Q2 quarterly report to the 2010 Q3 quarterly report. How do you ensure that the OLAP connection for the new Q3 quarterly report will be updated with data from 2010 Q3?
A) Change the value for the quarter query variable from Q2 to Q3.
B) Update the value of the quarter field in the OLAP connection to Q3.
C) Change the ##S variable for the quarter to Q3.
D) Change the ##R variable for the quarter to Q3.
Solutions:
| Question # 1 Answer: A,B | Question # 2 Answer: C | Question # 3 Answer: A | Question # 4 Answer: B | Question # 5 Answer: A |
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