Free IBM Sterling Order Management v10.0 and Order Management on Cloud Architect Exam C1000-133 Exam Practice Test
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Total Questions: 60
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In a development environment with an IBM Sterling Order Management system (OMS), IBM WebSphere MQ crashed. All queues have been restarted and all messages were deleted.Based on this situation, which statement is true'?
Answer: D Next Question -
In an IBM Sterling Order Management V9.4 solution, the client requires the user activity audit data to be saved for 2 months before purging it. The implementation professional recognizes that retention days needs to be set to 60 days.Where should this be configured?
Answer: D Next Question -
An implementation professional installs IBM Sterling Order Management in Upgrade mode.Which attribute needs to be reset in the sandbox.cfg properties file?
Answer: C Next Question -
As part of implementation, it is required for return orders created against a sales order to have the value of an extended database attribute of the YFS_ORDER_LINE table. At the time of return creation, this attribute must be copied from the sales order onto the return order. How can this be accomplished?
Answer: D Next Question -
To set up Single Sign On (SSO) for IBM Sterling Store, whichJava interface needs to be implemented in the custom class?
Answer: C Next Question -
The Real-Time Availability Monitor (RTAM) transaction is under which process type?
Answer: C Next Question -
Consider the following charges made:* Sales Order 1 (sales order is for $250)*o CREDrT_CARD1=$150oDEBIT_CARD1=$100* Sales Order 2(sales order is for $300)*o CREDIT_CARD 1 = $150o DEBIT CARD1 =$150The same payment method, CREDIT_CARD_1, was used on both sales orders The following payment setup was previously configured:* CASH refunds to new CASH, unless greater than $200, then CASH refunds to CHECK* DCBIT_CARD refunds lo now CASH* CREDI1 CARD refunds to itselfIf the customer decides to return both orders, which refund scenario is correct? Return Order Refunds:
Answer: D Next Question -
A custom API needs to be developed to evaluate the price of a given order. Different kinds of pricing model types, such as 'REGULAR', 'PROMOTION'. 'HOLIDAY' and 'SEASONAL' are used.Tip implementation professional wants to set this up so that the custom API code does not have to invoke an API to retrieve the pricing model type. How can this be achieved if the pricing model type that needs to be used by the custom API should be set up as a configurable parameter?
Answer: C Next Question -
An implementation professional has extended an API template and an out-of-the box table. For both these modifications, the modified XML file has been kept in the appropriate directory. To ensure these changes are effective, the resourses.jar and entities.jar files need to be rebuild.Which is the BEST way to accomplish this?
Answer: B Next Question -
Which of the following is NOT an advantage of implementing the Promising Server?
Answer: B Next Question
Total Questions: 60