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IBM Risk Analytics for Banking Sales Mastery Test v1 - M2020-621 real prep

M2020-621
  • Exam Code: M2020-621
  • Exam Name: IBM Risk Analytics for Banking Sales Mastery Test v1
  • Updated: Oct 05, 2026
  • Q & A: 24 Questions and Answers
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  • PDF Price: $49.98
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IBM M2020-621 Exam Syllabus Topics:

SectionObjectives
Topic 1: Implementation and Deployment Considerations- Adoption and integration strategy
  • 1. Operational readiness factors
    • 2. Deployment models (cloud/on-premise)
      Topic 2: Banking Risk Use Cases- Regulatory and compliance applications
      • 1. Stress testing and scenario analysis
        • 2. Regulatory reporting support
          - Credit and market risk management scenarios
          • 1. Credit risk modeling and assessment
            • 2. Market and liquidity risk insights
              Topic 3: IBM Solution Components- Risk analytics architecture and tools
              • 1. Integration with banking systems
                • 2. IBM analytics platforms overview
                  Topic 4: Competitive Positioning- Market differentiation
                  • 1. IBM strengths in enterprise risk solutions
                    • 2. Comparison with alternative vendors
                      Topic 5: IBM Risk Analytics for Banking Overview- Core capabilities and product positioning
                      • 1. Value proposition for financial institutions
                        • 2. Risk analytics capabilities in banking context

                          IBM Risk Analytics for Banking Sales Mastery Test v1 Sample Questions:

                          Question #1

                          Which solution is not an "operationally oriented solution" as described in the Introduction and overview of Algorithmics Banking and Financial Markets Business presentation by John Macdonald?

                          • A. Credit Lifecycle Management
                          • B. Collateral Management
                          • C. Balance Sheet Risk Management
                          • D. Strategic Business Planning
                          Reveal Solution  Discussion  0

                          Correct Answer: D  🗳️

                          Question #2

                          What would most concern a credit risk analyst has within commercial banking?

                          • A. Having tools to validate the market risk factors for scenario generation
                          • B. Having access to reports on loan origination and credit limit utilization
                          • C. Having access to reports on Potential Future Exposure on a portfolio of FX products
                          • D. Having tools to report on wrong-way risk in the trading book portfolio
                          Reveal Solution  Discussion  0

                          Correct Answer: B  🗳️

                          Question #3

                          Contemplate for a moment that you are the CRO of a bank and you require a solution (from IBM) that will give you an integrated and consistent view of your risks and return across the business. Which solution will give you the best support in achieving this?

                          • A. Strategic Business Planning
                          • B. Integrated Market & Credit risk
                          • C. Solvency II and Economic Capital
                          • D. Asset & Liability management
                          Reveal Solution  Discussion  0

                          Correct Answer: B  🗳️

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