Validate your SAP skills and expertise This certification verifies that the candidate possesses the core skills and
knowledge of SAP Business Suite and the expertise to effectively position,
articulate, and recommend its solutions in the market. It validates the
candidate's ability to comprehend core solution capabilities, underlying
architectural principles, and the strategic value proposition. The certification
also assesses the candidate’s skill in identifying and aligning solution
features with specific buying centers and their distinct business challenges.
Stay certified and stay ahead Continuous learning and keeping your skills up to date is a priority and SAP
Certification makes it easy for you to maintain your SAP skills and valid
credentials.
The standard validity of your certification is 12 months. Every time you successfully complete an assessment, the validity period is
extended by 12 more months.
You’ll receive personalized communication to ensure that you don’t miss your
certification expiry date.
Topic areas Please see below the list of topics that may be covered within this SAP
Certification and the courses that touches on these topics. Its accuracy does
not constitute a legitimate claim. SAP reserves the right to update the exam
content (topics, items, weighting) at any time.
Positioning SAP Business Suite
Exam percentage: 100
QUESTION 1 Which SAP Business Suite applications help manage supply chain processes
efficiently? There are 2 correct answers to this question.
A. SAP Supply Chain Management (SCM)
B. SAP Transportation Management (TM)
C. SAP SuccessFactors
D. SAP Concur
Answer: A,B
QUESTION 2 Which of the following is the emphasis of both GROW with SAP and RISE with
SAP? Please choose the correct answer.
A. On-premise solutions
B. Minimal customization
C. Rapid implementation
D. Continuous innovation
Answer: D
QUESTION 3 What is a primary function of SAP Customer Relationship Management (SAP CRM)
within SAP Business Suite? Please choose the correct answer.
A. Managing customer interactions, sales, and marketing activities
B. Tracking supply chain inventory levels
C. Handling payroll and workforce management
D. Processing supplier invoices
Answer: A
QUESTION 4 Which SAP solution is designed to manage end-to-end business processes
across multiple departments? Please choose the correct answer.
A. SAP ERP
B. SAP Ariba
C. SAP Fieldglass
D. SAP BusinessObjects
Answer: A
QUESTION 5 Which SAP Business Suite components are critical for enterprise-wide
integration?There are 3 correct answers to this question.
A. SAP ERP
B. SAP SHANA
C. SAP Business Network
D. SAP Ariba
E. SAP Predictive Maintenance
Format: Multiple Choice
Duration: 90 Minutes
Number of Questions: 50
Passing Score: 68%
Validation: This exam has been validated against Oracle Utilities Customer Cloud
Service.
Policy: Cloud Recertification
Earn associated certifications Passing this exam is required to earn these
certifications. Select each certification title below to view full requirements.
Oracle Utilities Customer to Meter and Customer Cloud Service 2025 Certified
Implementation Professional
Prepare to pass exam: 1Z0-1196-25 The Oracle Utilities Customer to Meter and Customer Cloud Service 2025
Implementation Professional certification is designed for Partners,
Administrators, and Business Decision Makers who are responsible for
implementing, supporting and utilizing Oracle Utilities Customer Cloud Service
for their customer and billing operations. Individuals who earn this credential
are skilled at and capable of using the system to manage customer, asset, and
device information; perform usage and billing calculations; manage payments; and
configure numerous functional areas within the system to support a utility
customer's entire lifecycle.
We recommend participation in at least one implementation, from requirements
gathering through to production, prior to attempting this exam.
Take recommended training Complete one of the courses below to prepare for your exam (optional):
Oracle Utilities C2M/CCS Certification
Additional Preparation and Information
A combination of Oracle training and hands-on experience (attained via labs
and/or field experience), in the learning subscription, provides the best
preparation for passing the exam.
Understand the functional footprint of the Customer to Meter product
Explain the key transactional functions that are common between the Customer to
Meter application components and how shared objects are maintained
Searching and Viewing Customer and Device Related Information
Describe the key components of a screen in the Customer to Meter product
Compare the main searching capabilities that are available to business users
Configure portals to display specific zones to a business user
Maintaining Customer Information
Understand the relationship/functions of the "V" entities that capture
demographic and geographic information
Configure and maintain customer (demographic and geographic) information
Illustrate how service points relate to devices and how installation details are
recorded
Describe what notification preferences are used for and how they are maintained
for a customer
Compare the purpose of service agreements and usage subscriptions and how they
relate to usage and billing calculations
Maintaining Asset Information
Explain the role of assets, components, specifications, and dispositions
Configure asset types and manage assets
Maintaining Device Information
Explain the concept of a measuring component, and the relationship between
devices and measuring componentsConfigure device types/measuring component types
and manage devices/measuring components
Initiating and Managing Service Orders and Field Activities
Explain the concept of a service order (orchrestrator) activity and a field
activity to support customer processes
Evaluate and extend the configuration associated with processing a servce order
(orchestrator) activity from initiation through to completion
Understanding Measurements and Performing Validation/Editing/Estimation (VEE)
Processing
Describe the high level process of loading measurements through to calculating
usage
Compare the differences between critical validations and other validations
Configure VEE Groups/VEE Rules for processing initial measurements
Understanding Financial Transactions
Explain how account and service agreement balances are determined for a customer
Compare how various types of financial transactions are created and when they
impact a customer's account balance
Implement the processes that verify the integrity of financial transactions in
the system
Creating and Managing Bills
Explain the functions of a bill, bill segment, and off cycle bill generator
Compare the various ways bills and bill segments are created, managed, and
corrected
Describe the key entities involved in usage calculations and their purpose
Configure usage groups/usage calculation rules to perform usage calculations
Describe how the system processes replacement meter reads to trigger a bill
correction
Configuring Rates
Understand the structure of a rate schedule and the role each part plays in
calculating charges
Configure rate schedules to calculate charges and illlustrate the impact of
calculation rule configuration settings on resulting bill segment details
Creating and Managing Payments
Understand the differences between payment events, payment tenders, payments,
and payment segments
Configure the payment-related administration objects and processes to create and
manage payments from various sources
Understanding Adjustment
Explain the various ways in which an adjustment type controls aspects of an
adjustment’s behavior
Compare the various ways adjustments may be created and their impact on service
agreement balances
Understanding Credit and Collections Capabilities
Understand how the system creates various automated processes and their specific
roles in encouraging customers to pay outstanding debt
Describe the key concepts of payment arrangements and pay plans to receive
payment from customers
Starting and Stopping Service
Understand the main entities involved in starting and stopping service for a
customer
Illustrate what happens when activating and stopping service agreements and the
subsequent actions that may be initiated
Evaluate and extend the capabilities of agent-assisted process flows and
customer service requests for processing start/stop/transfer service requests
Sample Question And Answers
QUESTION 1 [Understanding Measurements and Performing Validation/Editing/Estimation (VEE)
Processing]
Usage calculations calculate service quantities (often referred to as bill
determinants) for bill
calculation purposes. Which option correctly specifies the valid entity or
entities related to usage calculations?
A. Usage Version Calculation Group
B. Pre-Processing Usage Calculation Group and Usage Calculation Group
C. Usage Calculation Group and Post-Processing Usage Calculation Group
D. Pre-Processing Usage Calculation Group, Usage Version Calculation Group, and
Post-Processing
Usage Calculation Group
E. Usage Calculation Group
Answer: E
QUESTION 2 [Creating and Managing Bills]
A usage subscription defines which usage calculation group should be used to
calculate service
quantities (often referred to as bill determinants). Which record directly
initiates a corresponding usage subscription?
A. Service Agreement Type
B. Usage Request
C. Service Agreement
D. Bill Segment
E. Usage Subscription Type
Answer: C
QUESTION 3
[Maintaining Device Information]
Measuring components are single points for which data will be received and
stored in the system.
Measuring components are either subtractive or consumptive. Which statement is
correct?
A. A subtractive measuring component's usage is equal to the current reading
minus the previous reading. A consumptive measuring component's usage is equal
to its current measurement.
B. Subtractive measuring components are associated only with water service,
whereas consumptive measuring components are for gas and electric services.
C. Subtractive measuring components are used to measure demand, whereas
consumptive measuring components are used to measure how much was consumed since
the previous reading.
D. Subtractive measuring components are associated with deductive meters,
whereas consumptive measuring components are not.
Answer: A
QUESTION 4 [Maintaining Device Information]
Meters are a type of device, which can be physical or virtual objects, that can
produce data to be
handled by the system. Which two statements are true regarding meters?
A. One or more measuring components can be associated with a meter's device
configuration.
B. Only one measuring component can be associated with a meter's device
configuration.
C. Only one device configuration can be associated with a meter.
D. One or more device configurations can be associated with a meter over time.
E. A meter can only have scalar or interval measuring components associated with
it.
Answer: A,D
QUESTION 5
[Creating and Managing Bills]
An issue is detected in a frozen bill segment prior to a bill being completed
and sent out. If the frozen
bill segment is then cancelled and rebilled, which two statements are correct
after the bill has been completed?
A. Both the originating and cancellation financial transactions are swept onto
the same bill and the Show on Bill switches on the financial transactions will
be deselected.
B. The bill will include both the original bill segment that was cancelled and
the new billsegment details for the customer to see.
C. The bill will only include the newly created bill segment details for the
customer to see and the cancelled bill segment details will be suppressed from
all subsequent bills.
D. The bill will only include the newly created bill segment details for the
customer to see and the cancelled bill segment details will be included in the
following bill.
E. Both the originating and cancellation financial transactions are swept onto
the same bill and the Show on Bill switches on the financial transactions will
be selected.
Exam Details
Exam questions are derived from the recommended training and the exam resources
listed above. Pass/fail status is available immediately after taking the exam.
The exam is only provided in English.
Recertification Juniper certifications are valid for three years. For more information, see
Recertification.
The Design track enables you to demonstrate competence with Juniper Networks
design principles and associated technologies. JNCIA-Design, the associate-level
certification in this track, is designed for networking professionals and
designers with beginner knowledge of network design, theory, and best practices.
The written exam verifies your understanding of network design fundamentals.
This track includes one certification: JNCIA-Design: Design, Associate. For details, see the sections below.
Exam Preparation We recommend the following resources to help you prepare for your exam.
However, these resources aren't required, and using them doesn't guarantee
you'll pass the exam.
Recommended Training Juniper Networks® Design Fundamentals
Exam Resources
Industry/product knowledge Juniper TechLibrary
Additional Preparation Juniper Learning Portal
Exam Objectives Here’s a high-level view of the skillset required to successfully complete
the JNCIA-Design certification exam.
General security design and considerations
Securing a data center
Securing the campus WAN
Zero-trust security
Secure access service edge (SASE)
Network Management or Reliability
Identify network design considerations for business continuity, including:
High-resiliency design
Link- and device-level redundancy
Multihomed Ethernet Segment Identifier Link Aggregation Groups (ESI LAGs)
Juniper Networks SRX Firewalls redundancy
Virtual chassis
Campus redundancy best practices
Identify design considerations for network automation, including:
Benefits of network automation
Juniper automation products
Junos® XML, Representational State Transfer (REST), JSD APIs
Junos OS on-box and off-box automation
Identify design considerations for network management strategies, including:
Network management methodologies
Separation of production and management traffic
Configuration backups
Remote console access
Juniper network management strategies
Campus and Branch LAN Design
Identify considerations for a wired campus or branch LAN, including:
Campus LAN design best practices
Modular design
Subnet and VLAN design
Access control design
Ethernet VPN-Virtual Extensible LAN (EVPN-VXLAN) architecture
Campus oversubscription ratios
Campus design architectures
Identify considerations for a wireless LAN, including:
Identify considerations for a campus or branch WAN, including:
Campus or branch WAN connectivity functions
Best practices for designing the campus or branch WAN
Campus WAN performance
Campus WAN VPN design
Campus active/active and active/passive high availability (HA)
Identify considerations for general data center network, including:
Data center design best practices
Traffic patterns
Virtual chassis
Environmental considerations
Data center fabric architectures
Identify considerations for IP fabric-based data center network, including:
Benefits of IP fabric over other data center architectures
Design options with IP fabrics
Spine-and-leaf device placement recommendations
Underlay and overlay design
Routing protocol selection
IP fabric best practices
IP fabric scaling
Sample Question And Answers
QUESTION 1 Which two statements are correct about greenfield and brownfield
deployments? (Choose two.)
A. A brownfield deployment has no network environment.
B. A greenfield deployment has no network environment.
C. A greenfield deployment has a network environment and must be upgraded.
D. A brownfield deployment has a network environment and must be upgraded.
Answer: B,D
QUESTION 2 Which aspect of network design facilitates future growth and troubleshooting
efforts?
A. business continuity
B. high availability
C. modularity
D. security
Answer: C
QUESTION 3 You are the network architect with a large banking institution with
operations around the world. Any outage results in lost revenue for your
company,
and may result in lost customers. Network uptime is your top priority.
In this scenario, what should be your focus?
A. return on investment
B. business continuity
C. capacity planning
D. service visualization
Answer: B
QUESTION 4 Which three categories should the collected data be sorted into during the
data analysis phase?
(Choose three.)
A. customer requirements
B. customer data
C. Industry standards
D. personal data
E. project boundaries
Answer: A,C,E
QUESTION 5 What are two characteristics of a greenfield deployment? (Choose two.)
A. A greenfield deployment means that there are fewer restrictions.
B. A greenfield deployment is more common.
C. A greenfield deployment always implies integration with other vendor
products.
D. A greenfield deployment means a new deployment.
Earn associated certifications Passing this exam is required to earn these certifications. Select each
certification title below to view full requirements.
Oracle Financials Cloud: General Ledger 2024 Certified Implementation
Professional
Format: Hands-on Performance Based
Duration: 90 Minutes
Number of Questions: Not Applicable
Passing Score: Challenges - 75% | Multiple choice - 68%
Validation: This exam has been validated against 23A/23B/23C/23D/24A/24B.
Policy: Cloud Recertification
Prepare to pass exam: 1Z0-1054-24
The Oracle Financials Cloud: General Ledger 2024 Implementation Professional
certification is designed for SaaS Implementation Consultants or Users who
implement Oracle Cloud Financials. Individuals who earn this certification are
capable of configuring Enterprise and Financial Reporting Structures, Ledgers,
Intercompany transactions, Period Close and Financial Reporting, and Processing
Journals.
The Oracle Financials Cloud: General Ledger 2024 Implementation Professional
certification is a Hands-on Performance based exam comprising of hands-on
challenges and multiple choice questions. One needs to pass both sections
individually to earn the credential.
You must have a valid Oracle Financials Cloud: General Ledger Implementation
Professional Certification exam credential in order to take this Delta exam. If
your credential has expired you can get up to date by successfully completing
the qualifying Delta exam for free. If you are not eligible to take the Delta
exam, you will need to take the Oracle Financials Cloud: General Ledger 2024
Implementation Professional Certification exam.
Check the Oracle Recertification Policy to see if you qualify.
Take recommended training
Complete one of the courses below to prepare for your exam (optional):
Become a Certified Financials - General Ledger Implementer
Additional Preparation and Information A combination of Oracle training and hands-on experience (attained via labs
and/or field experience), in the learning subscription, provides the best
preparation for passing the exam.
Review exam topics
Configuring Enterprise and Financial Reporting Structures Manage Chart of Accounts
Manage Account Hierarchies
Manage Accounting Calendars
Manage Chart of Accounts Security
Manage Legal Jurisdictions, Legal Authorities and Legal Entities
Manage Geographies
Manage Currencies
Processing Journals
Configure the Journal Approval setup
Explain the processes to capture and enter journals
Explain Average Daily Balance Processing
Configure and Process Intercompany Manage Intercompany Balancing Rules and Additional Intercompany and Clearing
Options
Set up Intercompany Transaction
Configure Intercompany Balancing Rules
Process Intercompany Transactions
Process intercompany reconciliations
Using Financial Reporting Explain the Financial Reporting Center and available reporting tools
Manage Financial Reporting using Financial Reporting Web Studio
Manage Financial Reporting using Oracle Transactional Business Intelligence
Managing Financial Reporting using Smart View
Describe the General Accounting Dashboard and Work Areas
Analyze budgets versus actuals using reporting tools
Managing Period Close Components
Explain the Close Process
Manage Revaluations
Manage Translations
Manage Consolidations
Manage Reconciliations
Configure Close Monitor for efficient period close
Create Allocations and Periodic Entries
Configuring Ledgers Manage Ledgers
Explain the General Ledger Balances Cube
Manage General Ledger Security
Sample Question And Answers
QUESTION 1 Users with the General Accountant job role have reported that they are
unable to access the UK Ledger.
They require read/write access to the full ledger. The accounting configuration
completed successfully.
What should you do to allow access to the ledger?
A. Assign the UK reference set to the user/role combination.
B. Assign the security context value of UK Ledger to the user/role combination.
C. Create a data access set that allows access to the UK Ledger.
D. Assign the General Accounting Manager role to those users.
Answer: C
Explanation:
Data access sets are collections of ledgers that define the data security for
users who access General
Ledger. Users can only access the ledgers that are assigned to them through data
access sets. To
allow users with the General Accountant job role to access the UK Ledger, you
need to create a data
access set that includes the UK Ledger and assign it to the user/role
combination. You also need to
specify the access privilege for the data access set, which can be Full Ledger,
Both Read and Write, or
Read Only. In this case, you need to select Both Read and Write to allow
read/write access to the full
ledger. Reference:
Implement General Ledger
GL_ACCESS_SET_LEDGERS
The Default Data Access Set
Overview of General Ledger Security
QUESTION 2
You notice that a lot of erroneous address data is being saved. How do you
ensure that only valid addresses are entered in the system?
A. Define the Geography Validation for Country option to Error.
B. Redefine the location structure.
C. Redefine the geography hierarchy.
D. Define the Geography Validation for Country option to No Validation.
Answer: A
Explanation:
Geography validation is a feature that enables you to validate the address
information entered for a
location against the geography hierarchy defined for a country. You can set the
Geography Validation
for Country option to one of the following values:
No Validation: No validation is performed on the address information.
Warning: A warning message is displayed if the address information does not
match the geography
hierarchy, but the user can still save the address.
Error: An error message is displayed if the address information does not match
the geography
hierarchy, and the user cannot save the address until the error is corrected. To
ensure that only valid
addresses are entered in the system, you should set the Geography Validation for
Country option to
Error. This will prevent users from saving erroneous address data and enforce
data quality and
accuracy. Reference:
Oracle Financials Cloud: Enterprise Structures with General Ledger
Implementation, Chapter 2:
Define Geographies, Section: Geography Validation
Oracle Financials Cloud: Implementing Enterprise Structures and General Ledger,
Chapter 2: Define
Geographies, Section: Geography Validation
QUESTION 3
You need to add new transactional attributes to the journal approval
notification in an
implementation project. Which two Business Intelligence catalog objects should
you copy (or customize) and edit?
A. Sub template
B. Style template
C. Layout template
D. Output type
E. Data model
Answer: C, E
Explanation:
To modify the journal approval notification, you need to copy (or customize) and
edit the layout
template and the data model of the Analytics Publisher report. The layout
template defines the
appearance and content of the notification, such as the text, fields, tables,
and images. The data
model defines the data sources and queries that provide the data for the
notification, such as the
journal attributes, amounts, and statuses. You can use Template Builder for Word
to edit the layout
template and Analytics Publisher to edit the data model. You also need to
download the Workflow
Notification Subtemplate, which is a common subtemplate that contains the header
and footer of
the notification. You can preview the modified notification using the
subtemplate and the data
model. Reference:
Modify Journal Approval Notifications with Analytics Publisher
[Creating Analytics and Reports for Financials Cloud]
QUESTION 4
You have three ledgers that use the same chart of accounts with one intercompany
payable and one
intercompany receivable account. The chart of accounts also has an intercompany
segment. Each
ledger has one legal entity assigned to it and each legal entity is associated
with one balancing segment value.
At what level should you define the default intercompany balancing rule?
A. Ledger-level rule
B. Legal entity-level rule
C. Primary balancing segment rule
D. Chart of accounts rule
Answer: D
Explanation:
You should define the default intercompany balancing rule at the legal entity
level, because each
ledger has one legal entity assigned to it and each legal entity is associated
with one balancing
segment value. This way, you can specify the intercompany receivables and
payables accounts for
each legal entity and ensure that the journals are balanced by legal entity or
primary balancing
segment values. A ledger-level rule would apply to all legal entities in the
ledger, which may not be
appropriate if they have different intercompany accounts. A primary balancing
segment rule would
apply to all ledgers that share the same chart of accounts, which may not be
desirable if they have
different intercompany rules. A chart of accounts rule would apply to all
ledgers and legal entities
that use the same chart of accounts, which may not be feasible if they have
different intercompany
segments or accounts. Reference:
Intercompany Balancing Rules, Section: Define Intercompany Balancing Rules
Overview of Intercompany Balancing Rules, Section: Define Intercompany Balancing
Rules
Troubleshooting Guide For Intercompany Balancing, Section: 1. Journals and
subledger accounting
entries are not being balanced for intercompany activity
Implement General Ledger, Section: Intercompany Balancing
QUESTION 5
Which three factors should you consider while specifying Intercompany System
options?
A. Approvers who will approve intercompany transactions
B. Automatic or manual batch numbering and the minimum transaction amount
C. Whether to allow receivers to reject intercompany transactions
D. Whether to enforce an enterprise-wide currency or allow intercompany
transactions in local currencies
E. Automatic or manual batch numbering and the maximum transaction amount
Answer: B, C, D
Explanation:
Intercompany System options are used to set up intercompany processing rules at
the enterprise
level, based on your specific business needs. They help you standardize and
simplify transaction
processing, minimize disputes, and reduce administrative costs. The three
factors that you should
consider while specifying Intercompany System options are:
Automatic or manual batch numbering and the minimum transaction amount: These
options help
you control the numbering and the size of intercompany transactions. You can
choose to use system
generated or manual batch numbering, and you can specify a minimum threshold
amount for
intercompany transactions to prevent immaterial transactions. To use the minimum
transaction
amount option, you must also select an Intercompany currency option.
Whether to enforce an enterprise-wide currency or allow intercompany
transactions in local
currencies: This option helps you manage the currency risk and the conversion
rate fluctuations for
intercompany transactions. You can choose to standardize transaction processing
by selecting an
Intercompany currency, which means that all intercompany transactions created in
the Intercompany
module are entered in this currency. Alternatively, you can choose to allow
intercompany
transactions in local currencies, which means that intercompany transactions can
be entered in the
ledger currency of the sender or the receiver.
Whether to allow receivers to reject intercompany transactions: This option
helps you handle the
approval and dispute resolution process for intercompany transactions. You can
choose to allow
receivers to reject intercompany transactions if they disagree with the senders
information, such as
the amount, the account, or the date. If you enable this option, you must also
specify the rejection
reason and the notification details for the sender.
Reference:
Intercompany System Options
Implementing Enterprise Structures and General Ledger
Implement General Ledger
Exam ID HPE7-A05
Exam type Proctored
Exam duration 2 hours
Exam length 75 questions
Passing score 65%
Delivery languages English, Japanese, Latin American Spanish
Ideal candidate Typical candidates have a minimum of three years of experience
implementing and supporting data center networks.
Prepare for the HPE7-A05 Aruba Certified Campus Access Professional Exam with
this comprehensive guide! This video covers essential topics, exam structure,
study tips, and best resources to help you pass with confidence. Learn about
Aruba network solutions, campus access configurations, security policies, and
troubleshooting techniques. Don't forget to like, subscribe, and hit the bell
icon for more IT certification content!
They can: Design and validate data center networks that meet customer requirements.
Deploy HPE Aruba Data Center Networking switches into greenfield or brownfield
network environments.
Integrate data center networking switches with other products such as servers,
storage, hypervisors, etc. from HPE or 3rd party vendors.
Troubleshoot, monitor, and maintain the data center network.
Exam contents This exam has 75 questions.
Advice to help you take this exam
Complete the training and review all course materials and documents before you
take the exam.
Exam items are based on expected knowledge acquired from job experience, an
expected level of industry-standard knowledge, or other prerequisites (events,
supplemental materials, etc.).
Successful completion of the course or study materials alone does not ensure you
will pass the exam.
Read the entire question and consider all options before you answer. If the
question includes an exhibit, study the exhibit and read the question again.
Select the answer that fully responds to the question. If the question asks for
more than one answer, select all correct answers. There is no partial credit.
Exam policies
Click here to view exam security and retake policies.
14%
1. Plan the low-level design
1.1 Based on a high-level network design, create a low-level design for
deployment based on HPE Aruba Networking data center switches
1.2 Based on the low-level design, create and/or validate the BoM
1.3 Determine if the physical environment and data center infrastructure meet
the needs of the solution and recommend changes as needed.
13% 2. Install the solution
2.1 Stage the network equipment to enable testing prior to the final
installation
2.2 Execute the physical installation of equipment
2.3 Validate the installation
23% 3. Configure the solution
3.1 Using various interface mechanisms, implement the low-level design
3.2 Verify that the configuration meets the design requirements
3.3 Configure monitoring tools
15%
4. Troubleshoot
4.1 Diagnose issues using embedded diagnostic tools
4.2 Determine the severity of issues and develop a plan of action to remediate
the problem
4.3 Resolve the issues using the appropriate tools
12% 5. Create a monitored environment
5.1 Use available monitoring and reporting tools to monitor performance,
availability, and system resources
5.2 Establish baselines and define alert thresholds
5.3 Generate reports to determine switch and data center health
12% 6. Maintain and optimize
6.1 Monitor HPE and third-party release cycles
6.2 Maintain licenses and subscriptions
6.3 Optimize traffic
6.4 Optimize security
6.5 Optimize automation
11% 7. Integration
7.1 Implement specific switch features that integrate and interoperate with
server, storage, workload, and applications
Sample Question and Answers
QUESTION 1 Which of the following is a commonly used protocol for securely transferring
files over a network?
A. RDP
B. Telnet
C. SSH
D. FTP
Answer: C
Explanation:
SSH (Secure Shell) is a protocol used for secure file transfer and remote access
QUESTION 2 What embedded diagnostic tool in Aruba Data Center helps to identify and
resolve network security vulnerabilities?
A. Network Insight
B. ClearPass
C. RFProtect
D. Aruba Sensor
Answer: B
Explanation: ClearPass is an embedded diagnostic tool in Aruba Data Center that helps to
identify and resolve network security vulnerabilities.
QUESTION 3 Which of the following is a feature of VLANs that allows devices in the same
VLAN to communicate with each other?
A. ARP
B. DHCP
C. Inter-VLAN routing
D. Subnetting
Answer: C
Explanation:
Inter-VLAN routing allows devices within the same VLAN to communicate with each
other.
QUESTION 4 When maintaining and optimizing a data center solution, what is a common
task that should be regularly performed to ensure optimal performance?
A. Changing the network topology
B. Powering off the equipment overnight
C. Checking for software updates
D. Ignoring performance reports
Answer: C
Explanation:
Regularly checking for software updates is crucial to maintain security and
performance in a data center solution.
QUESTION 5 What is the purpose of regularly optimizing an Aruba data center solution?
A. To enhance security
B. To reduce costs
C. To increase scalability
D. To improve performance
Answer: C
Explanation:
Regular optimization helps to improve the performance of the data center
solution, leading to better efficiency and user experience.
Exam Description: The Splunk Core Certified Power User exam is the final
step towards completion of the Splunk Core Certified Power User certification.
This next-level certification exam is a 57-minute,
60-question assessment which evaluates a candidate’s knowledge and skills of
field aliases and calculated fields, creating tags and event types, using
macros, creating workflow actions and data
models, and normalizing data with the CIM. Candidates can expect an additional 3
minutes to review the exam agreement, for a total seat time of 60 minutes.
Candidates for this certification must complete the
lecture, hands-on labs, and quizzes that are part of the Splunk Fundamentals 2
course in order to be eligible for the certification exam. Splunk Core Certified
Power User is a required prerequisite to the
Splunk Enterprise Certified Admin certification track.
This course focuses on searching and reporting commands, as well as on the
creation of knowledge objects. Major topics include using transforming commands
and visualizations, filtering and formatting
results, correlating events, creating knowledge objects, using field aliases and
calculated fields, creating tags and event types, using macros, creating
workflow actions and data models, and normalizing data
with the Common Information Model (CIM).
The following content areas are general guidelines for the content to be
included on the exam: * Transforming commands and visualizations
* Filtering and formatting results
* Correlating events
* Knowledge objects
* Fields (field aliases, field extractions, calculated fields)
* Tags and event types
* Macros
* Workflow actions
* Data models
* Splunk Common Information Model (CIM)
The following topics are general guidelines for the content likely to be
included on the exam; however,
other related topics may also appear on any specific delivery of the exam. In
order to better reflect the
contents of the exam and for clarity purposes, the guidelines below may change
at any time without notice.
1.0 Using Transforming Commands for Visualizations 5% 1.1 Use the chart command
1.2 Use the timechart command
2.0 Filtering and Formatting Results 10% 2.1 The eval command
2.2 Use the search and where commands to filter results
2.3 The fillnull command
3.0 Correlating Events 15%
3.1 Identify transactions
3.2 Group events using fields
3.3 Group events using fields and time
3.4 Search with transactions
3.5 Report on transactions
3.6 Determine when to use transactions vs. stats
4.0 Creating and Managing Fields 10% 4.1 Perform regex field extractions using the Field Extractor (FX)
4.2 Perform delimiter field extractions using the FX
5.0 Creating Field Aliases and Calculated Fields 10% 5.1 Describe, create, and use field aliases
5.2 Describe, create, and use calculated fields
6.0 Creating Tags and Event Types 10% 6.1 Create and use tags
6.2 Describe event types and their uses
6.3 Create an event type
7.0 Creating and Using Macros 10% 7.1 Describe macros
7.2 Create and use a basic macro
7.3 Define arguments and variables for a macro
7.4 Add and use arguments with a macro
8.0 Creating and Using Workflow Actions 10% 8.1 Describe the function of GET, POST, and Search workflow actions
8.2 Create a GET workflow action
8.3 Create a POST workflow action
8.4 Create a Search workflow action
9.0 Creating Data Models 10% 9.1 Describe the relationship between data models and pivot
9.2 Identify data model attributes
9.3 Create a data model
10.0 Using the Common Information Model (CIM) Add-On 10% 10.1 Describe the Splunk CIM
10.2 List the knowledge objects included with the Splunk CIM Add-On
10.3 Use the CIM Add-On to normalize data
Sample Questions and Answers
Question: 1
Selected fields are displayed ______each event in the search results.
A. below
B. interesting fields
C. other fields
D. above
Answer: A
Question: 2 Search terms are not case sensitive.
A. True
B. False
Answer: A
Question: 3 These two searches will NOT return the same results. SEARCH 1:login failure
SEARCH 2: "login failure".
A. True
B. False
Answer: A
Question: 4 A space is an implied _____ in a search string.
A. OR
B. AND
C. ()
D. NOT
Answer: B
Question: 5 You can not specify a relative time range, such as 45 seconds ago, for a
search.
A. True
B. False
Answer: B
Students Reviews and Discussion
Bandile Ndlela Voted 2 weeks ago
Hello, with the new version released at 20th september, if this update all
questions?
upvoted 32 times
AGUIDI MAHAMAT Highly 4 months ago - Chad
95% of the questions are valid. Review the answers. Review discussions of why
some answers are inaccurate. This will provide better study and understanding of
content.
upvoted 32 times
Mahendrie Dwarika Most Recent 1 week - South Africa
More than 90% of the question on the exam were from here. Thxs Exam Topics
upvoted 5 times
valisetti ravishankar 3 weeks, 2 days ago - USA
Thank you so much for providing excellent study material. I prepared for my
350-501 exam and aced the exam with 950 marks
upvoted 7 times
Dos Santos Daniel 1 month, 1 week ago - Brazil Passed My Exam on 19th , 91 multiple choice question , 5 new question and 86
question in here.
upvoted 23 times
Course Description This course teaches you how to search and navigate in Splunk, use fields,
get statistics from your data, create reports, dashboards, lookups, and alerts.
Scenario-based examples and hands-on challenges will enable you to create robust
searches, reports, and charts. It will also introduce you to Splunk's datasets
features and Pivot interface.
Course Topics Introduction to Splunk's interface
Basic searching
Using fields in searches
Search fundamentals
Transforming commands
Creating reports and dashboards
Datasets
The Common Information Model (CIM)
Creating and using lookups
Scheduled Reports
Alerts
Using Pivot
Module 1 – Introduction Overview of Buttercup Games Inc.
Module 2 – What is Splunk? Splunk components
Installing Splunk
Getting data into Splunk
Module 3 – Introduction to Splunk's User Interface Understand the uses of Splunk
Define Splunk Apps
Customizing your user settings
Learn basic navigation in Splunk
Module 4 – Basic Searching
Run basic searches
Use autocomplete to help build a search
Set the time range of a search
Identify the contents of search results
Refine searches
Use the timeline
Work with events
Control a search job
Save search results
Module 5 – Using Fields in Searches
Understand fields
Use fields in searches
Use the fields sidebar
Module 6 – Search Language Fundamentals
Review basic search commands and general search practices
Examine the search pipeline
Specify indexes in searches
Use autocomplete and syntax highlighting
Use SPL search commands to perform searches:
Module 7 – Using Basic Transforming Commands
The top command
The rare command
The stats command
Module 8 – Creating Reports and Dashboards
Save a search as a report
Edit reports
Create reports that include visualizations such as charts
and tables
Create a dashboard
Add a report to a dashboard
Edit a dashboard
Module 9 – Datasets and the Common Information Model
Naming conventions
What are datasets?
What is the Common Information Model (CIM)?
Module 10 – Creating and Using Lookups
Describe lookups
Create a lookup file and create a lookup definition
Configure an automatic lookup
Module 12 - Using Pivot
Describe Pivot
Understand the relationship between data models and pivot
Select a data model object
Create a pivot report
Create an instant pivot from a search
Add a pivot report to a dashboard