wat description should be given in creating a role....in description area wat should be given ??
1 4506under description ; in creating a role what should be written over there ....what does ur company follows ??
10 13636what are all the items comes under balancesheet(liability side & asset side) step by step.& also trading and p&l account. somany companies asking this type of question . please tell me...
7 110951i have a base gdg consisting of 12 versions like jan to dec. i need to concatante this gdg to another gdg which have version 1 or to the base gdg itself can anyone give me the code pls ?
4 9366i have a file which contains duplicates ? my requirement is to eliminate duplicates and these elminated duplicates should be moved to another file can any code this using sort ?
3 8530u have passed sme charecters thru parm parameter in jcl. how do u code in cobol to recieve the values u gave in parm ?
2 7242can u explain gdg with example wht happens if we give limit,empty,noempty,scartch and no scartch
1 13827please tel me how to write test case for search engine to track peoples,when user enter the city,state,zipcode(ex:Kansas city,Missouri,64155)? (note country is already selected as a united states )
3927what is Fan Trap. can u explain with examples. plz let me know in details. in advance thanks for your appreciation. rgds rohit
1 4090What is the difference between various read and find statement,and which one should be used when for better adabas performance ?
2 6541Post New IBM Interview Questions
From the following particulars taken on 31 December, 1995, you are required to prepare a bank reconciliation statement to reconcile the bank balance shown in the Cash Book with that shown in the Pass Book: (i) Balance as per Pass Book on 31 December, 1995, O/D Rs 1,027. (ii) Four cheques drawn on 31 December but not cleared till January are as follows: Rs 12; Rs 1,021; Rs 98; and Rs 113. (iii) Interest on O/D not entered in Cash Book Rs 51. (iv) Three cheques received on 30 December and entered in the bank column of the Cash Book but not lodged in bank for collection till 3 January next: Rs 1,160; Rs 2,100; and Rs 2,080. (v) Cost of cheque book, Pass Book, etc; Rs 1.50 entered twice erroneously in Cash Book in November. (vi) A Bill Receivable for Rs 250 due on 29 December, 1995 was passed to the bank for collection on 28 December, 1990 and was entered in Cash Book forthwith whereas the proceeds were credited in the Pass Book only in January following. (vii) Chamber of Commerce subscription Rs 10 paid by bank on 1 December, 1990 had not been entered in the Cash Book. (viii) Bank charges of Rs 5 had been debited in the pass book twice erroneously. . . . plz be fast
What do you mean by batch processing in jdbc?
Difference between constructor and getInitialState ?
Sir i'm working in an organisation last since 4 years and kept an own company, i want to whether it is must i should get electrical license for HT works for above 33KV works. what will be the cost. Please suggest.
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Hai, My name is nisha.I have NIC exam.If anybody Knows NIC previous paper pattern pls send me to nishanairp@gmail.com
Explain differences between alloc() and free()?
If I forgot some command in sap script e.g.: Suppress zero display – how to do find it?
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write a program using c++ to implement single contiguous memory mangement techniques.display the content of the main memory after yhe allocation of jobs and percentage of the wastage of the main memory