[Oct.-2017-New] Useful Fortinet NSE4 Dumps Youtube Study Guide With The Knowledge And Skills

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What is the ideal way to prepare for NSE4 dumps? “Fortinet Network Security Expert 4 Written Exam – FortiOS 5.4” is the name of Fortinet NSE4 exam dumps which covers all the knowledge points of the real Fortinet exam. Useful Fortinet NSE4 dumps youtube study guide with the knowledge and skills. Pass4itsure Fortinet NSE4 dumps exam questions answers are updated (118 Q&As) are verified by experts.

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Exam Code: NSE4
Exam Name: Fortinet Network Security Expert 4 Written Exam – FortiOS 5.4
Q&As: 60

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NSE4-5.4 dumps

 

 

2017 Fortinet NSE4 Dumps (All 60 Q&As) From Pass4itsure:

1. A custom Dimension called “Sales” has Sales Person at level 0. Sales Persons are each associated
with a single Sales Channel and a single Geography. Your client would like to see a report showing Sales
Channel in the columns and Geography in the rows. How can this reporting need be best satisfied?
A. Sales dimension hierarchy for geography and attribute dimension for sales channel
B. Sales dimension hierarchy for geography and alternate hierarchy for sales channel
C. Sales dimension hierarchy for geography and dimension for sales channel
D. Sales dimension hierarchy for sales channel and alternate rollup for geography
NSE4 exam Answer: A
2. SCENARIO: A company wants to do custom salary planning application in addition to their standard Expense and Revenue Planning in Hyperion Planning. The company has 1000 employees spread across 250 cost centers. Detailed planning is done at the employee level for Salaries & Wages and Benefits accounts, but not for any other expense accounts. HR department requires that all new hires and transfers occur in PeopleSoft, therefore you can assume that no data will exist for a single employee
across multiple cost centers. Cost center managers may only view and edit salary data for their own existing employees in Hyperion Planning.
What is the optimal application design to achieve the best possible system performance? (SELECT ONE OPTION FROM THE TABLE)
A. Option 1
B. Option 2
C. Option 3
D. Option 4
E. Option 5

F. Option 6
Answer: C
3. It is more appropriate to use versions over scenarios when: (SELECT ALL THAT APPLY) NOTE: If there is no difference in functionality, do NOT select the member.
A. data must be input at an upper level member.
B. a smart list tag must be applied.
C. different exchange rates must be utilized for a currency application.
D. access must be restricted across different time periods and years
E. When Read Only vs Read/Write security must be applied.
NSE4 dumps Answer: A
4. Which point(s) are applicable when determining whether to include more than one plan type within an application? (SELECT ALL THAT APPLY)
A. The ESSSVR process will share resources across multiple plan types
B. Including multiple plan types in one application requires less maintenance than multiple applications with a single plan type in each
C. Having multiple plan types in multiple applications requires additional licensing
Answer: ABC
5. It is more appropriate to use scenarios over versions when: (SELECT ALL THAT APPLY) NOTE: If there is no difference in functionality, do NOT select the member.
A. data must be input at an upper level member.
B. a smart list tag must be applied.
C. different exchange rates must be utilized for a currency application.
D. access must be restricted across different time periods and years
E. Read Only vs Read/Write security must be applied.
NSE4 Answer: CD
6. The Entity dimension is organized by regions, with locations rolling to regions. “Projects” is added as
a custom dimension. Which option will impact application performance most adversely?
A. Add an attribute dimension to the Project dimension to assign projects as “New” or “Existing”.
B. Add a custom dimension called Project Type with the members “New” and “Existing”.
C. Create shared rollups in the project dimension based on new and existing projects.
D. Add projects to the project dimension under the parents “New” and “Existing”.
Answer: B
7. When using Shared Services for data integration, a dimension is eligible to be moved to the dynamic POV when which condition(s) are met? (SELECT ALL THAT APPLY)

A. The dimension is sparse.
B. The dimension is dense.
C. No other dimensions exist in the dynamic POV.
D. The members in the dimension are selected explicitly.
E. The members in the dimension are selected by function.
F. The dimension has a large number of members and must be updated often.
NSE4 vce Answer: ACD
8. What methods are available to move data between different applications? (SELECT ALL THAT APPLY)
A. Shared Services
B. Shared Members
C. Data export/import
D. Copy Versions
E. Partitioning
Answer: ACE
9. Which methods are available to move data between databases within a single application? (SELECT
ALL THAT APPLY)
A. Partitioning
B. Xref in calc script
C. Hyperion Application Link
D. Visual Basic
E. Report Scripts and Data Load Rules
F. SQL Query
G. Essbase Retrieve and Lock and Send
H. Hyperion Master Data Manager
I. Essbase Integration Server
NSE4 exam Answer: ABCDEG
10. The user takes a form offline on Friday. The administrator updates the web form over the weekend and deletes several accounts from the form. What happens when the user synchronizes the form on Monday?
A. A synchronization error will occur with no update to the data.
B. The synchronization message will be generated with no update to the data.
C. The synchronization will occur to existing cells with a message that some cells may not be saved.
D. (none of the above)
Answer: C
11. A client would like the page member selection on a web form for one dimension to determine the page
members available for a second dimension. How could this be accomplished?
A. Define the page member relationship in the web form definition
B. Through java script customizations
C. Assign UDA’s to the dimension in the second page drop down
D. (can not be done)
NSE4 dumps Answer: B
12. Which of the following statements are true regarding currencies? (SELECT ALL THAT APPLY)
A. Base currencies are assigned to entities
B. One entity can have input in multiple currencies
C. Base currencies are assigned to accounts
D. One account can have input in multiple currencies
Answer: ABD

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