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IBM M2020-621 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Implementation and Deployment Considerations | - Adoption and integration strategy
|
| IBM Risk Analytics for Banking Overview | - Core capabilities and product positioning
|
| Banking Risk Use Cases | - Credit and market risk management scenarios
|
| Competitive Positioning | - Market differentiation
|
| IBM Solution Components | - Risk analytics architecture and tools
|
IBM Risk Analytics for Banking Sales Mastery Test v1 Sample Questions:
Question 1
When the IBM acquisition of Algorithmics was announced, how many of the top 30 banks were part of Algorithmics more than 350 clients?
A. 25
B. 30
C. 20
D. 10
Question 2
When the Spanish Confederation of savings banks (CECA) required a fully automated margin management system from IBM Risk Analytics .which solution did they adopt?
A. Strategic Business Planning
B. Collateral Operations Management
C. Economic Capital & Solvency II
D. Credit Lifecycle Management
Question 3
What is a key value proposition for the Strategic Business Planning solution?
A. Correlates risks through integrated stress testing which prepares the bank for market-wide stress situations
B. Runs RiskWatch-based calculations to ensure consistency across all calculations and risk areas
C. Provides a central and single view of the customer, control over the entire credit sanctioning, approval and activation process
D. Takes a "top-down" view that aggregates pre-calculated results from multiple risk systems (Algorithmics. IBM.in-house. other vendors), providing risk and return analysis
Solutions:
| Question 1 Answer: A | Question 2 Answer: C | Question 3 Answer: D |






