2008年10月6日星期一

Pass4side最新Genesys GE0-703题库(DEMO) 4

Pass4side Genesys GCP7 - Consultant, Voice Enterprise Edition GE0-703
16. Which of the following features can be changed using the Element Management System (EMS) GUI whenmonitoring a VCS?A. the log level for each processB. the default directory for loggingC. the Behind or In-Front configuration for that particular VCSD. the speech recognition vendor for that particular VCSAnswer:A17. When would you use the Import Server Instance CSV feature in EMPS?A. Never. This feature is not available through the EMPSB. Any time you want to make a change to any of the parameters in EMPSC. You want to start the Watchdog serviceD. When numerous changes are needed with servers or configuration of various components for a server and inconjunction with Genesys Technical SupportAnswer:D18. Under what circumstances is a username and password required to access the EMPS?A. Never. By default, a username and password is not required since EMPS is only used for monitoring purposes.B. Always. When opening EMPS Login screen, the system will require users enter their username and password.C. Only when the EMPS is being accessed from a remote workstation. You are automatically authenticated andcan log in from a local machine.D. Only when using SunOne Directory Server because OpenLDAP has no built-in security for the EMPS loginscreen.Answer:B19. The ability to record the caller's speech for application analysis is configured in an IVR Profile within theEMPS and is referred to as __________.A. OA&MB. EMS RuntimeC. Enable ASR TranscodingD. Enable ASR LoggingAnswer:D20. The process on the VCS/IPCS that starts the other component processes is the __________.A. Page CollectorB. IVR Server ClientC. Call Flow AssistantD. WatchDogAnswer:D
题库内容摘自:www.pass4side.cn ,更新时间2008-10-5

Pass4side最新Genesys GE0-703题库(DEMO) 3

Pass4side最新Genesys GE0-703题库(DEMO) 3
Pass4side Genesys GCP7 - Consultant, Voice Enterprise Edition GE0-703
11. The .XML and .xml files are generated when __________.A. a call arrives at the VCSB. an application is created and configured in EMPSC. the WatchDog on the EMPS is restartedD. requested by the IVR ServerAnswer:B12. The .xml files provides all of the __________.A. VCS configuration informationB. voice application informationC. IPCS configuration informationD. web server configuration informationAnswer:B13. The DNIS.xml provides __________.A. the Primary Application URLB. all application configuration information but no process informationC. the address of the IVR ServerD. the URL path to the .XMLAnswer:D14. Where is the default location of the DNIS Application Mapping Files?A. \CN\dataB. \CN\web\dispenser\spd_dataC. \CN\configD. http://EMPS:9810/spmAnswer:B15. In the .xml file, the IVRTimeout value determines __________.A. how long URS waits for the response from web server before timing out and trying default routing target.B. how long VCS/IPCS waits for the response from web server before timing out and attempting to reach theBackup IVR URL.C. how long GQA waits for the connection with the IVR Server before using the Backup IVR URL.D. how long VCS/IPCS waits for the response from web server before timing out and attempting to reach thePrimary IVR URL.Answer:B
题库内容摘自:www.pass4side.cn ,更新时间2008-10-5

Pass4side最新Genesys GE0-703题库(DEMO) 2

Pass4side Genesys GCP7 - Consultant, Voice Enterprise Edition GE0-703
6. The Voice Communication Server (VCS) processes __________ calls.A. VoIPB. IPCSC. Web-based GUID. TDMAnswer:D7. The Internet Protocol Communication Server (IPCS) processes __________ calls.A. SIPB. HTMLC. TDMD. EMPSAnswer:A8. Is ISCC function used by IVR-TServer in network mode ? Choose the best statement.A. Yes because the IVR is like a second siteB. No because the IVR is integrated in the real siteC. No because ISCC function doesn?’t exist in IVR-TServerAnswer:A9. A Primary Voice Application URL is required when provisioning the IVR Profile. The Primary VoiceApplication CANNOT include __________.A. the fully qualified name of the web server that hosts the applicationB. the numeric IP address of the web server that hosts the applicationC. the name of the first page of the voice applicationD. the path to the .XML fileAnswer:D10. Refer to the CTI Property tab in the Provisioning IVR profile section in the EMPS. The Default Route Numberis used when __________.A. IVR Server is unable to contact the Solution Control Interface (SCI)B. IVR Server is unable to contact the Universal Routing Server (URS), or when the URS is unable to find anagent number to which it can route the callC. IVR component, specifically Genesys Queue Adapter (GQA), cannot communicate with SCS.D. IVR Server component cannot communicate with the Web ServerAnswer:B题库内容摘自:www.pass4side.cn ,更新时间2008-10-5

Pass4side最新Genesys GE0-703题库(DEMO) 1

Pass4side Genesys GCP7 - Consultant, Voice Enterprise Edition GE0-703
1. Which GVP software component is used to configure the various components of GVP including applicationprovisioning?A. Element Management Provisioning SystemB. IP Call ManagerC. Voice Application ReporterD. Genesys StudioAnswer:A2. Which GVP application is used to build and test voice applications?A. Element Management Provisioning SystemB. IP Call ManagerC. Voice Application ReporterD. Genesys StudioAnswer:D3. Which version of the VoiceXML Specification does GVP version 7.5 support?A. VoiceXML 1.0B. VoiceXML 1.1C. VoiceXML 2.0D. VoiceXML 3.0Answer:C4. The GVP VoiceXML application logic resides on __________.A. a web serverB. the VCSC. the VPMD. the IPCMAnswer:A5. How are VoiceXML pages produced during a GVP call session?A. Web application server generates VoiceXML when processing asp or jsp pagesB. VCS or IPCS produce VoiceXML when the call is initiatedC. EMPS produces VoiceXML when the request comes inD. IPCS creates the VoiceXML when it relays SIP messagesAnswer:A
题库内容摘自:www.pass4side.cn ,更新时间2008-10-5

Pass4side Microsoft MB6-507 To share with you <4>

Pass4side Microsoft MB6-507 To share with you <4>
Pass4side Microsoft MB6-507 AX 4.0 Financials Certification To share with you16. You are entering transactions into a journal for an account and you choose Debit for your Balance control.What can you expect from the system?A. That you can only enter debit transactions for this account.B. That you can only enter credit transactions for this account.C. That the total amount of the journal transactions will not make the balance for account go into credit.D. That the total amount of the journal transactions will not make the balance for account go into debit.Answer: C
17. Your company does not want any opening balances to transfer to the new year when the periodic job OpeningTransactions is run. Which of the following would you set the Balance Account field to?A. Transfer/NoB. ResetC. Closing/OpeningD. NoneAnswer: B18. Your company wants to create a financial statement that compares actual results to budget. How do you setthis up in Dynamics AX?A. You cannot. It is impossible to pull budgeted numbers into a financial statement.B. Create a column with a column type of Budget and choose the appropriate budget model on the Transactionstab.C. Create a column with a column type of Current and choose the appropriate budget model on the Transactionstab.D. Choose a default budget model in the General Ledger parameters.Answer: B
19. You would like to run a process to assist in the planning and controlling of liquidity for your company basedwhat will happen in the future. Which of the options would be necessary to do this?A. Select budget sub-model from cash flow administration.B. Specify a budget exchange rate in the Currency table.C. Set up the primary bank account in Bank management.D. Select the Cash flow forecast checkbox on the budget model.Answer: D
20. You are setting up a new yearly budgeted revenue divided into months with a pre-determined percentageallocation. How do you do this?A. Use a period allocation key.B. From Budget select press the Setup button, then use Allocation terms.C. Run the periodic job Allocate revenue.D. From the revenue account in the Chart of Accounts, select the Budget button, add the yearly revenue and thenuse the Allocation button.Answer: AFrom:www.pass4side.cn .Updated: 2008-10-5

Pass4side Microsoft MB6-507 To share with you <3>

Pass4side Microsoft MB6-507 AX 4.0 Financials Certification To share with you11. How do you indicate which company you are posting an intercompany transaction to?
A. Choose the account type of intercompany on the journal line and choose the company.
B. Choose the intercompany vendor on the journal line which then automatically chooses the company.
C. Choose the company to post to on the General tab in the Offset Company Accounts field.
D. Choose the company to post to on the General tab in the Company Accounts field.
Answer: C

12. In a General journal, which of the following descibes the use of selecting the Forced rate check box on theSetup tab page?
A. To avoid using triangulation on the journal lines.
B. To make exchange rate mandatory on the journal lines.
C. To specify a default exchange rate on the journal lines.
D. To set the fixed exchange rate used when making consolidations.
Answer: C

13. Your company wants to defer the cost of their insurance policies throughout the year to recognize theinsurance policy costs every month. Which of the following describes how to accomplish this in Dynamics AX?
A. Enter an accounts payable invoice journal and payment journal at the beginning of the year.
B. Enter an accounts receivable invoice journal and payment journal at the beginning of the year.
C. Create a new system account for a accruals and apply that account in a general journal.
D. Create a new ledger accrual scheme and apply that accrual scheme in a general journal.
Answer: D

14. Which of the following determines which tax codes are used?
A. Only the codes in the sales tax group.
B. The Tax code defined in General ledger/Setup/Parameters.
C. The calculation type set up in General ledger/Setup/Parameters.
D. The codes present in both the Sales tax and Item sales tax groups.
Answer: D

15. If you wanted to set up a sales tax value of 2.265% for Jefferson County Florida, where do you do this?
A. In the sales tax code form.
B. In the sales tax group form.
C. In the item sales tax group form.
D. In the tax authority form.
Answer: A

From:www.pass4side.cn .Updated: 2008-10-5

Pass4side Microsoft MB6-507 To share with you <2>

Pass4side Microsoft MB6-507 AX 4.0 Financials Certification To share with you6. You have several departments set up and need to run a financial statement for each one. How do you runthem?
A. The only way would be to create a financial statement for each department and run them separately.
B. Go to General Ledger, Reports, Transactions, Periodic, Financial statement under the dimension specificationsclick the Line checkbox when running the statements.
C. Go to General Ledger, Reports, Transactions, Periodic, Financial statement, under the focuses and change Mainor Secondary focus when running the statements.
D. Go to General Ledger, Reports, Transactions, Periodic, Financial statement, click the Select button whenrunning the statements and leave the criteria field blank to get all departments.
Answer: C
7. Which of the following is the result of selecting the checkbox Locked in Journal under the General tab of theChart of Accounts?
A. It would close an account in the journal and transfer balances to the electronic closing sheet.
B. It prevents posting on all accounts in the journal.
C. It only allows new debit transactions to be posted.
D. It prevents posting on an account in the journal.
Answer: D
8. Your company wants to generate a number of sequentially numbered checks in the bank module. Which of thefollowing is a requirement to allow sequentially numbered checks?
A. Set up a number sequence on the check layout.
B. Select Automatic check numbering in the Parameters.
C. Create a Check group and define the number sequence.
D. Select Fixed in the check numbering method.
Answer: D
9. At what stage can a check number be deleted from the Bank module?
A. When the check status is Cancelled.
B. When the check status is Created.
C. At any stage in the payment process.
D. When the check status is Void.
Answer: B
10. Given the following information, which of the following happens when Invoice 1 is settled?Date Text Company CurrencyUSD01 Dec. Invoice 1 10012031 Dec. Unreal. exch. profit. 20020 Jan. Payment 1005120
A. A realized exchange loss adjustment of 15 is posted.
B. Invoice 1 is settled 100% and the Customer has a balance of 15.
C. Unrealized exchange adjustment of 20 is reversed and a realized exchange adjustment of 5 is posted.
D. Unrealized exchange adjustment of 20 is reversed with 15 and no realized exchange adjustment is posted.
Answer: C

From:www.pass4side.cn .Updated: 2008-10-5

Pass4side Microsoft MB6-507 To share with you <1>

Pass4side Microsoft MB6-507 AX 4.0 Financials Certification To share with you1. A controller would like to assign a department 60-Purchase and cost center6010-Purchase when the accounts payable administrator creates vendor journals. Which of the following needs to be defined to restrict the availableselections?
A. Dimension proposal
B. Dimension planning
C. It can not be done
D. Dimension set hierarchy
Answer: D
2. One of the companies you are consolidating does business in a currency that hasbeen fluctuating a lot.However, when you run your consolidation, you want to only use a closing rate forthat period of the Monetary accounts. How would you set this up?
A. Set up a default exchange rate in the General Ledger parameters on theConsolidation tab.
B. Enter an exchange rate with no date on the exchange rate tab of the currency.
C. Enter an amount in the Monetary field on the currency and check the Monetarycheckbox on the ledger account.
D. This can not be done.
Answer: C
3. A controller is having issues with the monthly reports that have accountingentries made to the wrong departments. The controller would like to ensure that the accounting entries are entered with the correct department. Which of the following describes how to accomplish this in Dynamics AX?
A. Update the general ledger parameters based on the controllers requirements.
B. Create a journal control record for the journal names being used in the generaljournal.
C. Create new dimension sets, hierarchies and rules based on the controllersrequirements.
D. Create an accounts payable invoice approval journal and have the controllerreview the departments.
Answer: C
4. Which of the following happens to the transactions if you delete a period inwhich transactions are posted?
A. All transactions in the deleted period disappear.B. All transactions in the period are accumulated into one.
C. Nothing.
D. You are not allowed to delete a period in Dynamics AX.
Answer: C
5. The currency rate is changed on the 1st of every month. On the 1st of March,the rate is changed from 390 to 400. On the 4th of March, an invoice with a date of February 28th is made. Whichexchange rate does the system use?
A. 390
B. 400
C. 395 (the average of the two rates)
D. The exchange rate must be specified manually.
Answer: A
From:www.pass4side.cn .Updated: 2008-10-5

Pass4side 70-647 Share exam test 2

6. Your company has a main office and two branch offices. The network contains one Active Directory domain named contoso.com.All domain controllers and DNS servers for the contoso.com domain are located in the main office. All DNS servers are member servers.You plan to deploy two new Active Directory domains named east.contoso.com and west.contoso.com in the branch offices.You install a DNS server in each branch office.You need to prepare the environment for the installation of the new domains.What should you do next?
A. Create a new standard primary zone on each branch office DNS server for the new domains. Configure forwarders on the main office DNS servers to point to the branch office servers.
B. Create a new stub zone on each branch office DNS server for the new domains. Configure conditional forwarders on the main office DNS servers to point to the branch office DNS servers.
C. Configure a delegation subdomain DNS record on the main office DNS server for each new domain. Configure a stub zone on each branch office DNS server for the new domains. Configure zone transfer for the contoso.com zone to the branch office DNS servers.
D. Configure a delegation subdomain DNS record on the main office DNS server for each new domain. Create a new standard primary zone on each branch office DNS server for the new domains. Configure zone transfer for the contoso.com zone to the branch office DNS servers.
Answer: D

7. Your company has one main office and one branch office. The branch office is connected to the main office by using a wide area network (WAN) link. The network consists of one Active directory domain.The branch office has two member servers that run Windows Server 2008. One of the servers is configured as a file server that hosts shared folders.The branch office has a local administrator. The main office has one standard primary DNS zone that is hosted on a DNS server.The branch office grows from 100 client computers to 1,000 client computers.You need to recommend a name resolution solution for the branch office to meet the following requirements:Users must be able to access file shares on the local server if a WAN link fails.The branch office administrator must be able to modify Active Directory objects while at the branch office if a WAN link fails.What should you recommend?
A. Promote the member server to a domain controller and configure the DNS role. Create a standard secondary zone.
B. Promote the member server to a domain controller and configure the DNS role. Create a new standard primary zone.
C. Promote the member server to a read-only domain controller (RODC) and configure the DNS role. Create a primary read-only zone.
D. Promote the member server to a read-only domain controller (RODC) and configure the DNS role. Create a new standard secondary zone.
Answer: A

8. Your network consists of one Active Directory forest that contains one root domain and 22 child domains.All domain controllers run Windows Server 2003. All domain controllers run the DNS Server service and host Active Directory-integrated zones.Administrators report that it takes more than one hour to restart the DNS servers.You need to reduce the time it takes to restart the DNS servers.What should you do?
A. Upgrade all domain controllers to Windows Server 2008.
B. Upgrade all domain controllers in the root domain to Windows Server 2008, and then set the functional level for the root domain to Windows Server 2008.
C. Deploy new secondary zones on additional servers in each child domain.
D. Change the Active Directory-integrated DNS zones to standard primary zones.
Answer: A

9. Your network consists of one Active Directory forest that contains one root domain and 10 child domains.Administrators of the child domains frequently modify the records for authoritative DNS servers for the child domain DNS zones.You need to recommend a solution to minimize the amount of manual configuration steps required to maintain name resolution on the network.What should you recommend?
A. On the child domain DNS servers, create stub zones for the root domain zone.
B. On the child domain DNS servers, configure conditional forwarders for the parent domain.
C. On the root domain DNS servers, create stub zones for the child domain zones.
D. On the root domain DNS servers, configure delegation subdomain records for the child domains.
Answer: C
From:www.pass4side.cn .Updated: 2008-9-18

Pass4side 70-647 Share exam test 1

1. Your company has a main office and a new branch office. The network consists of one Active directory domain.The branch office contains two member servers that run Windows Server 2008. One of the servers is configured as a file server that hosts shared folders. An administrator in the branch office is responsible for maintaining the servers.You have a single DNS zone that is hosted on a DNS server located in the main office.A wide area network (WAN) link between the branch office and the main office is unreliable.You need to recommend a network services solution for the new branch office. The solution must meet the following requirements:Users must be able to log on to the domain if a WAN link fails.Users must be able to access file shares on the local server if a WAN link fails.Branch office administrators must be prevented from initiating changes to Active Directory.Branch office administrators must be able to make configuration changes to the servers in the branch office.What should you recommend?A. Promote the member server to a domain controller and add the branch office administrators to the Domain Admins group.
B. Promote the member server to a read-only domain controller (RODC) and add the branch office administrators to the Domain Admins group.
C. Promote the member server to a read-only domain controller (RODC) and configure the DNS role. Delegate administrative rights to the local branch office administrator.
D. Promote the member server to a domain controller and configure the DNS role. Create an organizational unit (OU) for each branch office and delegate administrative rights to the local branch office administrator.Answer: C
2. Your company has one office in San Diego and one office in New York.The network consists of one Active Directory forest that contains one domain named contoso.com and one domain named newyork.contoso.com. All servers run Windows Server 2008. All domain controllers for contoso.com are located in San Diego. All domain controllers for newyork.contoso.com are located in New York.Contoso.com contains two domain controllers named Server1 and Server2. Newyork.contoso.com contains two domain controllers named Server3 and Server4. All domain controllers host Active Directory-integrated DNS zones for their respective domains.You need to ensure that users from each office can resolve computer names for both domains from a local DNS server.What should you do?
A. Add the contoso.com and the newyork.contoso.com DNS zones to the ForestDNSZones partition.
B. Create a stub DNS zone for contoso.com on Server3. Create a stub DNS zone for newyork.contoso.com on Server1.
C. Create a standard primary DNS zone named contoso.com on Server3. Create a standard primary DNS zone named newyork.contoso.com on Server1.
D. Configure conditional forwarders on Server1 to point to Server3. Configure conditional forwarders on Server3 to point to Server1.
Answer: A
3. Your company has a main office and three branch offices.Each office has a server that runs Windows Server 2008. The server has the DNS Server role installed. The branch offices contain client computers that run Windows 2000.You plan to deploy Active Directory Domain Services (AD DS) on the network.You need to plan a name resolution solution for the deployment of Active Directory Domain Services (AD DS).The solution must meet the following requirements:Support secure dynamic updates.Minimize response times for users connecting to resources anywhere on the network.What should you include in your plan?
A. A GlobalNames zone for the forest.
B. A single Active Directory-integrated DNS zone.
C. A stub zone on the DNS server in each branch office.
D. A standard primary zone in the main office and secondary zones in each branch office.
Answer: B
4. Your company has one office in Montreal and one office in New York. Each office has 2,000 client computers configured as DHCP clients. DHCP relay is not supported on the network routers.The network consists of one Active Directory domain.You need to recommend a DHCP addressing solution for both offices. The solution must meet the following requirements:Minimize traffic between offices.Be available if a single server fails.What should you recommend?
A. In each office, install a DHCP server that has two scopes.
B. In each office, install a DHCP instance on a two node failover cluster.
C. In the Montreal office, install a DHCP server. In the New York office, install a DHCP Relay Agent.
D. In the Montreal office, install a DHCP instance on a two node failover cluster. In the New York office, install a DHCP Relay Agent.
Answer: B
5. Your network consists of one Active Directory forest that contains 20 domain trees. All DNS servers run Windows Server 2008. The network is configured as an IPv4 network.Users connect to network applications in all domains by using a NetBIOS name.You plan to migrate to an IPv6-enabled only network.You need to recommend a solution to migrate the network to IPv6. The solution must not require any changes to client computers.What should you recommend?
A. On the DNS servers, configure GlobalNames zones.
B. On the DNS servers, add all domain zones to the ForestDNSZones partition.
C. On a new server, install and configure a Windows Server 2008 WINS server.
D. On a new server, install and configure a Windows Server 2003 WINS server.
Answer: A
From:www.pass4side.cn .Updated: 2008-9-17

Pass4side Oracle 1Z0-033 <3>

11. Smith is a DBA with ABC Corp. He is in the process of tuning the database. He has received various problemstatements from the customers. Identify three appropriately defined problem statements that Smith can use to tunethe database correctly. (Choose three.)
A.The system is too slow.
B.Online response is very slow.
C.Sometimes the batch process throws errors.
D.The weekly backup took 30 minutes, and earlier it used to take 5 minutes.
E.The batch process is taking 2 hours, whereas it should take only 30 minutes.F.The system currently has 100 users. We wish to increase the number of users to 250. The users’ response timeshould not be affected.
Answer:: DEF

12. Smith is a DBA with XYZ Corp. There are 500 data entry users in an online transaction processing (OLTP)environment. The current response time is 15-20 seconds. The company wants the response time to be broughtdown to 10 seconds or less.What is the first thing that Smith should do to diagnose the cause of the slow response time?
A.determine whether there is contention for locks
B.determine whether the file system is fast enough
C.determine whether more memory needs to be allocated to PGA
D.determine whether more memory needs to be allocated to SGA
E.determine whether the slow response is wait bound or CPU bound
Answer:: E

13. Which two activities would adversely affect database performance? (Choose two.)
A.doing a soft parse
B.performing archiving
C.less frequent checkpointing
D.defining multiple buffer pools
E.taking online back up of data files
Answer:: BE

14. The following are the tasks that you need to perform to create a resource plan:A) Creating resource consumer groupsB) Validating pending areaC) Creating a pending areaD) Creating resource plansE) Creating plan directivesF) Submitting pending areaIn which order would you perform these tasks?
A.C, D, A, E, B, F
B.C, B, F, E, A, D
C.C, B, E, D, A, F
D.C, F, E, A, D, B
Answer:: A

15. View the Exhibit and examine the steps to create a database resource plan. Execution of the followingprocedure resulted in an error:SQL> EXECUTE dbms_resource_manager.validate_pending_area();What could be the reason for this?
A.The ADMINISTER_RESOURCE_MANAGER privilege is not granted to the user.
B.The procedure should be executed before creating the resource plan directive.
C.The SYS_GROUP resource consumer group is not included in the resource plan directive.
D.The OTHER_GROUPS resource consumer group is not included in the resource plan directive.
Answer:: D
From:www.pass4side.cn .Updated: 2008-9-17

Pass4side Oracle 1Z0-033 <2>

6. You have reserved memory within the Shared Pool by using the SHARED_POOL_RESERVED_SIZEparameter to accommodate large space allocations while compiling PL/SQL blocks and database triggers.While observing the performance of the reserved area, you find that the value of the REQUEST_FAILUREScolumn in the V$SHARED_POOL_RESERVED view is continuously increasing.Which statement is true in this scenario?
A.The parsing of the statement fails due to invalidations.
B.The execution of the statement fails due to invalidations.
C.The space allocated for the reserved area is not enough.
D.The syntax in the PL/SQL blocks is causing the compilation failure.
Answer:: C
7. You need to size the KEEP pool. Which calculation would you use to determine the initial size of the KEEPpool?
A.50% of the DEFAULT pool
B.50% of the RECYCLE pool
C.the total number of blocks of all the candidate objects that you need in the KEEP pool / the number of objectsthat you need in the KEEP pool
D.total number of blocks of all the candidate objects that you need in the KEEP pool + additional space to allowfor object growth
Answer:: D
8. ABC Corp. plans to build an online transaction processing (OLTP) system. The company plans to tune all thecomponents during the development life cycle.From the list given below, identify the order in which the components should be tuned.1. logical and physical model2. cursor sharing3. Oracle instance memory structures4. operating system5 data file I/O
A.1, 2, 3, 5, 4
B.1, 3, 2, 4, 5
C.1, 2, 3, 4, 5
D.1, 2, 5, 3, 4
Answer:: A
9. ABC Corp. has an online transaction processing (OLTP) system that has just gone into production. The systemwas rigorously tested during the development phases.What is the first recommended activity that the DBA should perform before starting to monitor the performance ofthe system on a regular basis?
A.running SQL*Trace
B.collecting baseline statistics
C.analyzing indexes and user tables
D.arranging meetings with users once each two weeks to discuss performance
Answer:: B

10. When tuning a database server, which three goals should you focus on? (Choose three.)A.minimize response time for OLTP users
B.maximize throughput for batch processing
C.minimize response time for batch processing
D.increase load capability for the decision-support systems
E.minimize parallelism for online transaction processing (OLTP) systems
Answer:: ABD

From:www.pass4side.cn .Updated: 2008-9-17

Pass4side Oracle 1Z0-033 <1>

1. You create a stored outline and apply it for use. What strategy would you adopt to verify that the stored outlineis being used for a statement?
A.verify OL$,OL$HINTS, and OL$NODES tables after running the statement with USE_STORED_OUTLINESset
B.examine the V$SQL dynamic performance view after running the statement with theUSE_STORED_OUTLINES set
C.compare the explain plan output for the statement when running with and without theUSE_STORED_OUTLINES set
D.compare the statspack output by taking snaps before and after running the statement with theUSE_STORED_OUTLINES set
Answer:: C
2. View the Exhibit.In your database, you find that the fy05q1 table in a dictionary managed tablespace has excess space. Further, youfind that the table consists of three extents. The size of the first extent is 100KB, the second is 200KB, and thethird is 300K. The high water mark is in the middle of the second extent, and there is 400KB of unused space.You want to release the unused space so that it can be used by other segments. You execute the followingcommand to achieve this task:SQL> ALTER TABLE fy05q1 DEALLOCATE UNUSED;What would this command do?
A.deallocates the third and second extents
B.deallocates the third extent; the second extent remains as it is
C.deallocates the third extent, and the second extent is sized to 100KB
D.returns an error because the unused space is above the high water mark
Answer:: C
3. Why does performance degrade when many UPDATE, INSERT, or DELETE statements are issued on a tablethat has an associated Bitmap index?
A.Some DML operations re-create the Bitmap index blocks.
B.The Bitmap index is rebuilt automatically after a DML operation.
C.The smallest amount of a bitmap that can be locked is a bitmap segment.
D.Additional time is taken to remove NULL values from the Bitmap index after a DML operation.
Answer:: C
4. In an online transaction processing (OLTP) system, you notice that the transactions are waiting. Which twotechniques would you use to determine if it is a locking problem? (Choose two.)
A.query V$SESSION to determine the sessions waiting for locks
B.query V$LOCKED_OBJECT to diagnose the deadlocked sessions
C.execute the utllockt.sql script to find the list of locking and waiting transactions
D.use the catblock.sql script to populate DBA_BLOCKERS and DBA_WAITERS views
E.query the DBA_WAITERS view to determine the sessions that are waiting for a locked resource
Answer:: CE
5. A customer has various dictionary-managed tablespaces with past data. The extents in dictionary-managedtablespaces are not uniformly sized. Newly created tablespaces are locally managed. You want to make all thetablespaces locally managed. What approach would you use to change the dictionary-managed tablespaces tolocally managed tablespaces to get all the performance benefits of local extent management?
A.use only the DBMS_SPACE_ADMIN.TABLESPACE_MIGRATE_TO_LOCAL procedure
B.create new locally managed tablespaces and move data from existing dictionary-managed tablespaces to locallymanaged tablespaces
C.use the DBMS_SPACE_ADMIN.TABLESPACE_MIGRATE_TO_LOCAL procedure, followed byDBMS_SPACE_ADMIN.TABLESPACE_FIX_SEGMENT_STATES
D.use the ALTER TABLESPACE command to change extent management to local, and then use theDBMS_SPACE_ADMIN.TABLESPACE_MIGRATE_TO_LOCAL procedure
Answer:: B
From:www.pass4side.cn .Updated: 2008-9-17

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Pass4side Microsoft MB6-507 AX 4.0 Financials Certification To share with you16. You are entering transactions into a journal for an account and you choose Debit for your Balance control.What can you expect from the system?
A. That you can only enter debit transactions for this account.
B. That you can only enter credit transactions for this account.
C. That the total amount of the journal transactions will not make the balance for account go into credit.
D. That the total amount of the journal transactions will not make the balance for account go into debit.
Answer: C

17. Your company does not want any opening balances to transfer to the new year when the periodic job OpeningTransactions is run. Which of the following would you set the Balance Account field to?
A. Transfer/No
B. Reset
C. Closing/Opening
D. None
Answer: B

18. Your company wants to create a financial statement that compares actual results to budget. How do you setthis up in Dynamics AX?
A. You cannot. It is impossible to pull budgeted numbers into a financial statement.
B. Create a column with a column type of Budget and choose the appropriate budget model on the Transactionstab.
C. Create a column with a column type of Current and choose the appropriate budget model on the Transactionstab.
D. Choose a default budget model in the General Ledger parameters.
Answer: B

19. You would like to run a process to assist in the planning and controlling of liquidity for your company basedwhat will happen in the future. Which of the options would be necessary to do this?
A. Select budget sub-model from cash flow administration.
B. Specify a budget exchange rate in the Currency table.
C. Set up the primary bank account in Bank management.
D. Select the Cash flow forecast checkbox on the budget model.
Answer: D

20. You are setting up a new yearly budgeted revenue divided into months with a pre-determined percentageallocation. How do you do this?
A. Use a period allocation key.
B. From Budget select press the Setup button, then use Allocation terms.
C. Run the periodic job Allocate revenue.
D. From the revenue account in the Chart of Accounts, select the Budget button, add the yearly revenue and thenuse the Allocation button.
Answer: A
From:www.pass4side.cn .Updated: 2008-10-5

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Pass4side Microsoft MB6-507 AX 4.0 Financials Certification To share with you11. How do you indicate which company you are posting an intercompany transaction to?
A. Choose the account type of intercompany on the journal line and choose the company.
B. Choose the intercompany vendor on the journal line which then automatically chooses the company.
C. Choose the company to post to on the General tab in the Offset Company Accounts field.
D. Choose the company to post to on the General tab in the Company Accounts field.
Answer: C
12. In a General journal, which of the following descibes the use of selecting the Forced rate check box on theSetup tab page?
A. To avoid using triangulation on the journal lines.
B. To make exchange rate mandatory on the journal lines.
C. To specify a default exchange rate on the journal lines.
D. To set the fixed exchange rate used when making consolidations.
Answer: C
13. Your company wants to defer the cost of their insurance policies throughout the year to recognize theinsurance policy costs every month. Which of the following describes how to accomplish this in Dynamics AX?
A. Enter an accounts payable invoice journal and payment journal at the beginning of the year.
B. Enter an accounts receivable invoice journal and payment journal at the beginning of the year.
C. Create a new system account for a accruals and apply that account in a general journal.
D. Create a new ledger accrual scheme and apply that accrual scheme in a general journal.
Answer: D
14. Which of the following determines which tax codes are used?
A. Only the codes in the sales tax group.
B. The Tax code defined in General ledger/Setup/Parameters.
C. The calculation type set up in General ledger/Setup/Parameters.
D. The codes present in both the Sales tax and Item sales tax groups.
Answer: D
15. If you wanted to set up a sales tax value of 2.265% for Jefferson County Florida, where do you do this?
A. In the sales tax code form.
B. In the sales tax group form.
C. In the item sales tax group form.
D. In the tax authority form.
Answer: A
From:www.pass4side.cn .Updated: 2008-10-5

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Pass4side Microsoft MB6-507 AX 4.0 Financials Certification To share with you
6. You have several departments set up and need to run a financial statement for each one. How do you runthem?
A. The only way would be to create a financial statement for each department and run them separately.
B. Go to General Ledger, Reports, Transactions, Periodic, Financial statement under the dimension specificationsclick the Line checkbox when running the statements.
C. Go to General Ledger, Reports, Transactions, Periodic, Financial statement, under the focuses and change Mainor Secondary focus when running the statements.
D. Go to General Ledger, Reports, Transactions, Periodic, Financial statement, click the Select button whenrunning the statements and leave the criteria field blank to get all departments.
Answer: C

7. Which of the following is the result of selecting the checkbox Locked in Journal under the General tab of theChart of Accounts?
A. It would close an account in the journal and transfer balances to the electronic closing sheet.
B. It prevents posting on all accounts in the journal.
C. It only allows new debit transactions to be posted.
D. It prevents posting on an account in the journal.
Answer: D

8. Your company wants to generate a number of sequentially numbered checks in the bank module. Which of thefollowing is a requirement to allow sequentially numbered checks?
A. Set up a number sequence on the check layout.
B. Select Automatic check numbering in the Parameters.
C. Create a Check group and define the number sequence.
D. Select Fixed in the check numbering method.
Answer: D

9. At what stage can a check number be deleted from the Bank module?
A. When the check status is Cancelled.
B. When the check status is Created.
C. At any stage in the payment process.
D. When the check status is Void.
Answer: B

10. Given the following information, which of the following happens when Invoice 1 is settled?Date Text Company CurrencyUSD01 Dec. Invoice 1 10012031 Dec. Unreal. exch. profit. 20020 Jan. Payment 1005120
A. A realized exchange loss adjustment of 15 is posted.
B. Invoice 1 is settled 100% and the Customer has a balance of 15.
C. Unrealized exchange adjustment of 20 is reversed and a realized exchange adjustment of 5 is posted.
D. Unrealized exchange adjustment of 20 is reversed with 15 and no realized exchange adjustment is posted.
Answer: C

From:www.pass4side.cn.Updated: 2008-10-5

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Pass4side Microsoft MB6-507 AX 4.0 Financials Certification To share with you
1. A controller would like to assign a department 60-Purchase and cost center6010-Purchase when the accounts payable administrator creates vendor journals. Which of the following needs to be defined to restrict the availableselections?
A. Dimension proposal
B. Dimension planning
C. It can not be done
D. Dimension set hierarchy
Answer: D
2. One of the companies you are consolidating does business in a currency that hasbeen fluctuating a lot.However, when you run your consolidation, you want to only use a closing rate forthat period of the Monetary accounts. How would you set this up?
A. Set up a default exchange rate in the General Ledger parameters on theConsolidation tab.
B. Enter an exchange rate with no date on the exchange rate tab of the currency.
C. Enter an amount in the Monetary field on the currency and check the Monetarycheckbox on the ledger account.
D. This can not be done.
Answer: C
3. A controller is having issues with the monthly reports that have accountingentries made to the wrong departments. The controller would like to ensure that the accounting entries are entered with the correct department. Which of the following describes how to accomplish this in Dynamics AX?
A. Update the general ledger parameters based on the controllers requirements.
B. Create a journal control record for the journal names being used in the generaljournal.
C. Create new dimension sets, hierarchies and rules based on the controllersrequirements.
D. Create an accounts payable invoice approval journal and have the controllerreview the departments.
Answer: C
4. Which of the following happens to the transactions if you delete a period inwhich transactions are posted?
A. All transactions in the deleted period disappear.
B. All transactions in the period are accumulated into one.
C. Nothing.
D. You are not allowed to delete a period in Dynamics AX.
Answer: C
5. The currency rate is changed on the 1st of every month. On the 1st of March,the rate is changed from 390 to 400. On the 4th of March, an invoice with a date of February 28th is made. Whichexchange rate does the system use?
A. 390
B. 400
C. 395 (the average of the two rates)
D. The exchange rate must be specified manually.
Answer: A
From:www.pass4side.cn .Updated: 2008-10-5