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| Certification Vendor: | Salesforce |
|---|---|
| Exam Name: | Salesforce Certified Revenue Cloud Consultant |
| Exam Number: | Rev-Con-201 |
| Related Certifications: | Salesforce Certified Revenue Cloud Consultant |
| Real Exam Qty: | 65 |
| Passing Score: | 73% |
| Certificate Validity Period: | Maintenance required with each Salesforce release cycle |
| Available Languages: | English |
| Exam Format: | Multiple-choice, Multiple-select |
| Exam Price: | $200 USD |
| Exam Duration: | 105 minutes |
| Sample Questions: | Salesforce Rev-Con-201 Sample Questions |
| Exam Way: | Online proctored or onsite at a testing center |
| Pre Condition: | Salesforce Administrator credential recommended; experience with Salesforce Revenue Cloud implementations |
| Official Syllabus URL: | https://trailhead.salesforce.com/help?article=Salesforce-Certified-Revenue-Cloud-Consultant-Exam-Guide |
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NEW QUESTION # 23
A Salesforce Consultant has been asked to identify and extract contract details and clauses from a PDF that holds the information of a historical signed contract. The consultant will use Contracts AI to achieve this requirement. A prerequisite to using Contracts AI is to set up a contract extraction template.
When creating a contract extraction template, which template details does the consultant need to fill in to allow the selection of an existing context definition?
Answer: B
Explanation:
Explanation (150-250 words)
Contracts AI in Salesforce Revenue Cloud leverages AI-based document parsing to extract key data elements (clauses, values, terms) from uploaded contract files, such as PDFs. To configure this, an administrator creates a Contract Extraction Template, which determines how AI-extracted data maps into Salesforce fields.
In order to associate the template with an existing context definition (so extracted data aligns with the correct objects and relationships), the consultant must define both:
* Attribute Definitions - specify the data elements to extract (e.g., Start Date, Term, Renewal Clause).
* Context Mapping - links the extracted attributes to the appropriate fields and nodes within the selected context definition.
Without Attribute and Context mapping, Contracts AI cannot correctly populate contextual Salesforce data structures.
Exact Extract from Salesforce Contracts AI Implementation Guide:
"To use an existing context definition with a contract extraction template, specify attribute definitions and context mappings that associate extracted data with the context nodes." References:
Salesforce Contracts AI Implementation Guide - Contract Extraction Templates and Context Definitions Salesforce Revenue Cloud Platform Concepts - Context Service and Context Mapping Salesforce Solution Architect Handbook - AI-Assisted Contract Extraction Design
NEW QUESTION # 24
When a Ramped Asset is renewed using the InitiateRenew API, what happens to its quote line(s) in a renewal quote?
Answer: A
Explanation:
According to the supplied Revenue Management source, a ramped Asset renewed throughInitiateRenewis represented byone quote line, and the prior ramp structure is not automatically recreated on the renewal quote.
The original asset can have multiple Asset State Periods corresponding to its historical ramp segments, but renewal does not mean that those historical segments must become multiple renewed quote lines. Instead, the renewal transaction starts from the asset as the renewable commercial item and creates a single renewal line representing that asset.
Option A incorrectly assumes that every previous ramp segment is converted into a separate non-ramped renewal quote line. Option B assumes the original ramped quote-line structure is automatically reconstructed, which the supplied source explicitly rejects.
If the new renewal itself needs ramped commercial terms, the appropriate ramp structure must be established for the renewal transaction according to the new deal requirements rather than relying on automatic duplication of the previous ramp.
Study Guide Reference:Asset Management - Ramped Assets; InitiateRenew API; renewal quote generation and ramp behavior.
NEW QUESTION # 25
A product administrator has been asked to set up product visibility in the Browse Catalog phase based on a customer's region. Which Revenue Cloud specific capabilities should the product administrator use to satisfy this requirement?
Answer: B
Explanation:
Comprehensive and Detailed Explanation From Exact Extract:
In Revenue Cloud Product Catalog Management, Browse Catalog product visibility is controlled using Qualification Rules and Product Qualification decision tables. The standard ("out-of-the-box") decision table and related qualification rule procedures are designed exactly for use cases like:
* Hiding or showing products based on contextual criteria such as region, industry, customer segment, etc.
* Evaluating product visibility during Product Discovery / Browse Catalog.
The documented approach is to configure ProductQualification and Qualification Rule Procedures so that they reference customer region (for example, via Account or Quote fields) and drive visibility accordingly. This leverages standard Revenue Cloud capabilities instead of creating custom frameworks.
Option A (custom decision table) is possible but not the recommended Revenue Cloud-specific capability when there is already an out-of-the-box decision table built for product qualification.
Option B (separate price books per region) controls pricing, not visibility, and quickly becomes hard to maintain.
References:
Salesforce Revenue Lifecycle Management Implementation Guide - Product Qualification, Qualification Rule Procedures, and catalog visibility Product Catalog Management Documentation - Using Qualification Rules with Browse Catalog
NEW QUESTION # 26
A customer would like to begin implementing Revenue Cloud to better manage its selling, fulfillment, and financial processing.
Which strategy should the company use for a successful Revenue Cloud implementation?
Answer: C
Explanation:
Comprehensive and Detailed Explanation From Exact Extract:
Salesforce's recommended implementation methodology for Revenue Cloud emphasizes:
* A cross-functional team with expertise in Quote-to-Cash, order management, billing, and finance.
* A phased implementation plan (discover # design # build # test # deploy).
* Early analysis of data migration, integrations, and configuration before customization.
From the Revenue Cloud Implementation Guide:
* "Successful implementations begin with assembling a cross-functional team familiar with Quote-to- Cash processes."
* "Plan the implementation in phases and scope foundational setup such as data modeling, catalog design, and integrations."
* "Avoid enabling all settings at once or jumping directly into custom development." Options B and C violate Salesforce best practices by prioritizing development prematurely or enabling everything without planning.
References:Revenue Cloud Implementation Guide - Project Readiness, Phased Implementation Strategy.
NEW QUESTION # 27
A telecommunications customer currently subscribes to the Standard Data Plan (US$50/month). On October
15, halfway through their monthly billing cycle, they decide to upgrade to the Unlimited Data Plan ($100
/month). The company's policy is to immediately apply the new plan's benefits and proportionally adjust the current month's billing.
An administrator needs to accurately calculate the credit for the unused portion of the Standard Data Plan and then charge for the used portion of the Unlimited Data Plan in October.
Which pricing element should the administrator use?
Answer: C
Explanation:
The Provision element is used in Salesforce Billing and Subscription Management to support mid-cycle changes and proration logic, which is exactly what is required in this scenario. When a customer changes their subscription partway through a billing cycle, Salesforce can use Provision elements to:
* Prorate credits for the unused portion of the original service
* Calculate the partial charge for the new service based on the remaining billing period
* Accurately reflect the change in the invoice and subscription record
This functionality is part of Amendments and Mid-Term Changes in Subscription Management and supports use cases like upgrades, downgrades, and plan switches.
Option A (Derived Price) calculates pricing based on formulas or derived fields but doesn't handle time- based adjustments.
Option B (Aggregate Price) is used when rolling up prices from multiple child components or bundles, not for mid-cycle adjustments.
Exact Extracts from Salesforce Revenue Cloud Documents:
* Subscription Management Implementation Guide - "Prorated Billing and Provisioning":"Use Provision pricing elements to handle partial-period charges and credits during plan changes or mid- term amendments."
* Billing Implementation Guide - "Handling Amendments with Pro-ration":"Provision elements automate adjustments to billing based on service activation or termination dates within the billing period." References:
Salesforce Subscription Management Implementation Guide
Salesforce Billing Implementation Guide
Revenue Cloud Amendments and Proration Handling Documentation
NEW QUESTION # 28
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