Updated: Aug 30, 2025
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1. A retailer wants to implement custom logic to detect fraud orders. The fraud component must also be exposed as an enterprise-wide web service that will be used by other internal systems. Which approach should be used to satisfy this requirement?
A) The fraud detection logic should be written as a custom API in the Service Definition Framework, which can then be exposed as a web service.
B) Since fraud detection is a common requirement across all retailers, an enhancement request must be filed with Product Management to include the logic in the base product.
C) Since custom APIs cannot be exposed as a web service, the fraud detection logic should be implemented in an external system.
D) The fraud detection logic should be written as a custom transaction and included in the sales order pipeline. The out-of-the-box checkOrderForFraud API can then be exposed as a web service.
2. A Resource pool defines two slots, 9-12 and 1-5, and the available capacity is four hours in each slot. The following capacity reservations are to be made:
In IBM Sterling Selling and Fulfillment Suite, which capacity reservations will be created?
A) Res2
B) Res1
C) Res3
D) Res4
3. In a current implementation of IBM Sterling Selling and Fulfillment Suite, only default demand types are used. A Kitting Work Order is created for Kit Item "Kit1" with a quantity of
10. The Work Order is released and the pick tasks are generated for the component items. Following is the Kit configuration:
What will be the status of the inventory demand for the component items?
A) RESERVED, Item1 Qty : 2, Item2 Qty : 1. Item3 Qty : 4
B) ALLOCATED, Item1 Qty : 20, Item2 Qty : 10. Item3 Qty : 40
C) CREATED, Item1 Qty : 20, Item2 Qty : 10. Item3 Qty : 40
D) RESERVED, Item1 Qty : 20, Item2 Qty : 10. Item3 Qty : 40
E) ALLOCATED, Item1 Qty : 2, Item2 Qty : 1. Item3 Qty : 4
F) CREATED, Item1 Qty : 2, Item2 Qty : 1. Item3 Qty : 4
4. Purge logs are being generated for every purge transaction and are taking up a large amount of space on the file system. The developer wants to change the path where the purge logs are being generated. Which file must the developer change?
A) yfs.properties
B) app_overrides.properties
C) sandbox.cfg
D) customer_overrides.properties
5. A retailer wishes to issue refunds to a certain class of customers returning items to their stores through a specific payment type, for example check. Which configurations will accomplish this?
A) Navigate to Applications Manager > Applications > Reverse Logistics > Cross Application > Customer > Customer Definition and set the refund payment method for the created customer as Check.
B) Navigate to Applications Manager > Applications > Reverse Logistics > Cross Application > Customer > Customer Rules and set the refund payment method for the customer classification as Check.
C) Navigate to Applications Manager > Applications > Reverse Logistics > Cross Application > Financials > Payment Types and create a Check Payment Type.
D) Navigate to Applications Manager > Applications > Reverse Logistics > Cross Application > Financials > Payment Rule, and set the refund payment method as Check.
Solutions:
Question # 1 Answer: A | Question # 2 Answer: B | Question # 3 Answer: B | Question # 4 Answer: D | Question # 5 Answer: C |
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