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SAP C_TB1200_10 Dumps

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Total 78 questions

SAP Certified Application Associate - SAP Business One Release 10.0 Questions and Answers

Question 1

You have set up advanced availability-to-promise (ATP) in a company with three item groups. The first item group does NOT need an automatic ATP check. The second item group requires an ATP check and CANNOT be split into multiple deliveries. The third item group requires an ATP check but can have multiple deliveries.

What action is needed to configure This requirement?

Options:

A.

Set the appropriate order multiple and order interval in each item group

B.

Use a different row type in the sales order for each Item group

C.

Create a checking rule to assign to each item group

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Question 2

Your company manufactureselectronic devices.

How would you define a technician employee and a calibration machine in order to plan capacity in the production process?

Options:

A.

Add an item master data with Items type for the machine

Add an item master data with Labor type for the technician

B.

Add a Machine resource master data for the machine

Add a Labor resource master data for the technician

C.

Add a Machine resource master data for the machine

Add a forecast for the technician

D.

Add an item master data for the machine

Add anemployee master data for the technician

Question 3

A user creates an incoming payment for a customer and selects two invoices to be paid. When the user tries to post the payment the system messagethat is shown in the attached screenshot appears.

What are possible reasons for this system message? Note: There are 2 correct answers to this question.

Options:

A.

The user did NOT choose a payment means

B.

The amount in the Payment Means window does NOT matchthe total amount of invoices

C.

The customer uses a foreign currency and the exchange rate is NOT set up

D.

The invoices ate NOT due yet

Question 4

A company uses the advanced G/L account determination solution. The company defined five rules for special business scenarios for selling items to different countries.

Which accounts does the system use for all other business scenarios to assign accounts to journal entries?

Options:

A.

The accounts defined in the G/L determination window

B.

The accounts defined in the warehouse

C.

The accounts defined in the item master data

D.

The accounts defined in theitem group

Question 5

In routed production order stages, which stage element can be affected by the routing date calculationfield value?

Options:

A.

Start date

B.

Waiting days

C.

Status

D.

Run time

Question 6

Which two fields are examples of dimensions used in semantic layerviews? Note: There are 2 correct answers to this question.

Options:

A.

Posting dale

B.

Item code

C.

Item quantity

D.

Document total

Question 7

Item Code AB1234 is controlled by the FIFO valuation method.

When this item is issued out of the warehouse, which layer does the system choose first?

Options:

A.

The layer selected by a user

B.

The oldest available layer

C.

The layer with the lowest cost

D.

The layer with the smallest quantity

Question 8

You need to record a balance transfer between two customers. How do you select each customer in the journal entry? Note: There are 2 correct answers to this question.

Options:

A.

Press Ctrl + Tab to select from the list of business partners

B.

Press Tab and choose from the list of business partners

C.

Double click to select from the list of business partners

D.

Choose the list of business partners from the context menu

Question 9

Which two fields are examples of dimensions used in semantic layer views? Note There are 2 correct answers to this question.

Options:

A.

Posting dale

B.

Item code

C.

Item quantity

D.

Document total

Question 10

When you create a new company, default settings and values are applied automatically in the company details.

What influences the default settings?

Options:

A.

Local currency

B.

License

C.

Localization

D.

Chart of accounts template

Question 11

You manufacture olive oil. You want to track the expiration date for the bottles of oil that you produce.

What is the best way to enable this?

Options:

A.

Use production bill of materials

B.

Use serialnumbers

C.

Use batch numbers

D.

Use receiving bin locations

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Total 78 questions