Exam Details

  • Exam Code
    :CAT-241
  • Exam Name
    :CA Clarity PPM v13.x Business Analyst
  • Certification
    :CA Certifications
  • Vendor
    :CA
  • Total Questions
    :50 Q&As
  • Last Updated
    :May 13, 2024

CA CA Certifications CAT-241 Questions & Answers

  • Question 41:

    When you configure a time slice, what does the Rollover Interval property define?

    A. How often time slice data is updated

    B. The period to use for each time slice request

    C. How often time slice data is transferred to a Character Large Object (CLOB)

    D. How often the From Date updates for processing an updated time slice request

  • Question 42:

    Which financial functions were introduced in CA Clarity PPM v13? (Choose three)

    A. Process-enabled cost plans

    B. Investment-specific debit rules

    C. Multiple grouping attributes in cost plans

    D. The ability to submit cost plans as budget plans

    E. The use of Internal Rate of Return (IRR), Modified IRR (MIRR), and planned payback periods

  • Question 43:

    Which investment types would you typically use to configure a system for Incident Management? (Choose three)

    A. Ideas

    B. Assets

    C. Projects

    D. Products

    E. Incidents

  • Question 44:

    Which method to incorporate an investment in a portfolio scenario is valid?

    A. Pinning the investment

    B. Selecting the Required check box on the investment

    C. Adding the investment to the Portfolio Scenarios Global section in the Administration tool

    D. Adding all the roles on the investment to the scenario to help ensure the investment is included

  • Question 45:

    Which action do you typically perform on a Gantt chart?

    A. Add virtual attributes.

    B. Analyze scenario data.

    C. Change the time scale.

    D. Synchronize investments.

  • Question 46:

    You are setting up financial data in CA Clarity PPM. Which step is only needed if you are implementing chargeback functionality?

    A. Define classifications.

    B. Create input type codes.

    C. Create a cost/rate matrix.

    D. Define General Ledger (GL) codes.

  • Question 47:

    The Financial Status determines how transactions entered against a project are handled. If you set the status to Hold, then:

    A. The project is no longer open for financial processing.

    B. Transactions can be fully processed within the system.

    C. New transactions cannot accumulate and credit memos cannot be issued against a project.

    D. New transactions cannot accumulate but existing transactions can be processed against the project.

  • Question 48:

    You have developed a new process and transported it to a production environment using XML Open Gateway (XOG). To make the process operational, which step do you need to perform?

    A. Change Mode to Active.

    B. Validate the process only.

    C. Run the Execute a Process job.

    D. Validate and activate the process.

  • Question 49:

    You can monitor a release's performance on the Release Dashboard page. Which portlets are found on the Release Dashboard page? (Choose three)

    A. Scorecard

    B. Related Releases

    C. Related Release Plans

    D. Requirements ByTheme

    E. Requirements By Priority

  • Question 50:

    Which task can you perform using the Proxy tab on the Account Settings page?

    A. Enable substitute processes.

    B. Configure an Open Workbench connection.

    C. Configure advanced settings for notifications.

    D. Enable other users to respond to your action items.

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