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Following questions and answers are all new published by SAP Official Exam Center: (The full version is in the end of the article!!!)
What dimension property is required for consolidation of investments?
A. FIRST_CONS_DATE in the groups dimension
B. INTCO in the entity dimension
C. ENTITY in the groups dimension
D. OWNER in the entity dimension
The legal application is set to YTD storage.
What would a BPC report display compared to a database view?
Note: There are 2 correct answers to this question.
A. If the measure is set to PERIODIC, both inventory and equity account would match.
B. If the measure is set to YTD, an investment account would match but a liability account would not.
C. If the measure is set to YTD, a goodwill account would match but minority interest would not.
D. If the measure is set to PERIODIC, cash would match but not revenue.
E. If the measure is set to YTD, both revenue and cash accounts would match.
What step is required when setting up Finance or Consolidation Application compared to other Applications?
A. Select copy options
B. Select source Application
C. Select Application options
D. Modify Application
When validating the ‘FXTrans.LGF’ file, you get a validation error stating that the currency dimension is missing a property.
What property is missing?
To what is the term ‘ROUND’ in the script logic of the attached figure referring?
A. Parameter used in the BAdI
B. Filter value in the BAdI
C. Technical name of the BAdI
D. Enhancement spot of the BAdI
Company D owns 91% of A, 51% of B, and 49% of C.
Which company can use the equity method?
What transaction code allows you to access the ‘system_constants.lgf’ and ‘MDXlib.lgf’ files in BPC for NetWeaver?
A customer wants to load certain accounts with both local and reporting currencies without doing a currency translation.
What expression in the formula of the business rule for currency conversion would leave the reporting currency value unchanged?
Which calculation uses script logic exclusively?
B. Currency Translation
Data is loaded only in the ‘F_OPE’ flow/subtable.
When executing the currency translation for the first time, the CTA_ACT in F_CTA is empty.
What is the problem with the logic?
A. The user needs to execute the task one more time.
B. The formula is incorrect and needs to be modified.
C. The logic is correct but the system is doing something wrong.
D. The data is not available for F_TMP3 flow.
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