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Sitel Placement Papers Interview Questions
Questions Answers Views Company eMail

speak 1min on topic Travelling,memorable moment ,memorable day?

2195

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Un-Answered Questions

What do you mean by maven and why it is used?

183


Mention what is the difference between nodupkey and nodup options?

936


What is enum c++?

1114


When will be use the data loader?

412


How to connect tn in webmethods?

874


As a PMP, you will be required to comply with the Project Management Professional Code of Professional Conduct. This code refers to all of the following except: A. Reporting conflicts of interest B. Reporting experience and PMP status truthfully C. Complying with stakeholder requirements D. Complying with rules and policies of foreign countries

1155


Explain the truncate in oracle?

882


What is an execution plan? When would you use it?

899


What is a view and what are its advantages?

1032


Discuss about db2 bind?

1026


Why excel is so important?

592


What are the kinds of layouts does ab initio supports?

932


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

1950


what is fsg (financial statement generator)?

303


what does a work schedule rule consists of?

944