C2180-272 Exam Details

  • Exam Code
    :C2180-272
  • Exam Name
    :IBM WebSphere Message Broker V8.0 Solution Development
  • Certification
    :IBM Certifications
  • Vendor
    :IBM
  • Total Questions
    :52 Q&As
  • Last Updated
    :Jan 12, 2020

IBM C2180-272 Online Questions & Answers

  • Question 11:

    An international fund transfer acknowledgement message having the below format is to be validated, before being sent to the payment gateway.

    A solution developer has to implement a message validator for these transactions. What message domain should the solution developer use to do so?

    A. MIME
    B. MRM-TDS
    C. MRM-CWF
    D. DataObject

  • Question 12:

    A solution developer creates a message flow that includes an XSLTransform node. The node property specifies that the XSL style sheet is to be cached. The solution developer deploys the XSL style sheet in the BAR file with the message flow. Subsequently, the style sheet needs to be revised. How does the solution developer enable the message flow to use the revised style sheet?

    A. Use the mqsicacheadmin command to refresh the cache with the new style sheet.
    B. Update the BAR file with the modified style sheet and redeploy it.
    C. Update the style sheet in the Application Development view of the Toolkit. Once the changes are saved, the style sheet is reloaded automatically by any message flows that use it.
    D. Update the style sheet in the directory specified by the Style sheet directory property of the XSLTransform node. Once the changes are saved, the style sheet is reloaded automatically by any message flows that use it.

  • Question 13:

    A bank uses Process Server to implement a supervisor based, credit line approval process. Once initiated, the process does not return a response. This Process Server workflow needs to be started every time the Message Broker receives a new credit increase transaction. To implement this requirement, a solution developer can design a message flow that uses:

    A. Publication Node
    B. SCARequest Node
    C. a combination of SOAPAsyncRequest and SOAPAsyncResponse
    D. JavaCompute Node to invoke the process flow JAR files that are generated

  • Question 14:

    A customer uses a shared AIX server to store their source code and for building their source code for deployment. What command must the solution developer use on this server to create a broker archive (BAR) file?

    A. mqsireadbar
    B. mqsicreatebar
    C. mqsipackagebar
    D. mqsiapplybaroverride

  • Question 15:

    A solution developer is requested to investigate a message flow using the DFDL parser that is performing slowly. The message contains several optional fields. The solution developer determines that the parser is backtracking extensively while parsing input messages. What action should the solution developer take to reduce the amount of time required to parse the messages?

    A. Restructure the input messages.
    B. Use the XML parser instead of the DFDL parser.
    C. Include dfdl:discriminator and initiator keywords in the DFDL schema.
    D. Force the parser to reduce backtracking by suppressing errors that occur at parse time.

  • Question 16:

    A message flow with a JMSInput node receives a message with a blank Message Domain. The message is a TextMessage and does not include a JMSType header. Which domain parser should the solution developer expect the broker to use?

    A. XML
    B. BLOB
    C. XMLNSC
    D. JMSStream

  • Question 17:

    A solution developer needs to transform a message. As such, the solution developer needs to insert the content from a input message tree into a storage area of Environment in one node, and then transform the message and Environment in another node into the output message tree. To do so, what can the solution developer use?

    A. Perl
    B. ESQL
    C. XSL Stylesheet
    D. Graphical Data Mapping

  • Question 18:

    A school website needs to retrieve student records from its PeopleSoft system. The broker needs to be configured to utilize PeopleSoft JAR files. How should the solution developer implement this requirement?

    A. Place the PeopleSoft provided files on the broker runtime file system and run : mqsichangebroker -l -v
    B. Place the PeopleSoft provided files on the broker runtime file system and run: mqsichangeproperties -c EISProviders -o PeopleSoft -n jarsURL - v
    C. Configure the broker to use the files that came with the installation and run: mqsichangeproperties -c EISProviders -o PeopleSoft -n jarsURL - v\adapters\prereqs\jars
    D. Configure the application to use the relevant JAR files by adding external dependencies to the message broker application in the Toolkit during development. The Toolkit will bundle these JAR files within the Broker Archive (BAR) file for deployment.

  • Question 19:

    In the figure, Project1 is a Message Broker Project that contains two message flows, Flow1 and Flow2. Project1 references Lib1 library. Flow1 and Flow2 use Error_handler subflow. The solution developer created two BAR files, Flow1Artifacts.bar for Flow1 and Flow2Artifacts.bar for Flow2 artifacts, and deployed the two BAR files to the same execution group.

    After deployment, a defect is found in Flow2 and the solution developer adds more logging information to the Error_handler subflow to better understand the issue. The solution developer then rebuilds the BAR file Flow2Artifacts.bar and deploys it. What is the expected outcome?

    A. Flow2 captures the changes and Flow1 generates a runtime exception.
    B. Flow1 captures the changes and Flow2 generates a runtime exception.
    C. Flow1 and Flow2 capture the new Error_handler subflow logging information.
    D. Only Flow2 captures the changes and Flow1 continues to use the old Error_handler subflow logging information.

  • Question 20:

    A sample snippet of an incoming message is shown below.

    A solution developer is asked to design a message model that only processes messages that contain an allowed list of currency codes and rejects other messages. How can the solution developer modify the message model to achieve this?

    A. Add the allowed currency codes in Fixed Value.
    B. Add the allowed currency codes in Default Value.
    C. Add the allowed currency codes in Enumerations.
    D. Add the currency codes in Block Substitution settings.

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