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NEW QUESTION: 1
Which statement is NOT a task for the MNS stage?
A. Assigns ISO country codes <2 and 3 byte versions).
B. Assigns city, locality, province/state, postal code, and postal code add-on to separate fields.
C. Assigns city name phonetics with enhanced New York State Information and Intelligence Systems (NYSIIS) and reverse Soundex to match incorrectly spelled city names.
D. Separates city-level address information from province-level information.
Answer: B

NEW QUESTION: 2
You have a server named Server1 that runs Windows Server 2012 R2. You create a custom Data Collector Set (DCS)
named DCS1.
You need to configure DCS1 to meet the following requirements:
Automatically run a program when the amount of total free disk space on Server1 drops below 10 percent of capacity.
Log the current values of several registry settings.
Which two should you configure in DCS1? (Each correct answer presents part of the solution. Choose two.)
A. System configuration information
B. A Performance Counter Alert
C. A performance counter
D. Event trace data
Answer: A,B
Explanation:
Automatically run a program when the amount of total free disk space on Server1 drops below 10 percent of

capacity.
You can also configure alerts to start applications and performance logs

Log the current values of several registry settings.

System configuration information allows you to record the state of, and changes to, registry keys.
Total free disk space


Registry settings

Run a program on alert



http: //technet. microsoft. com/en-us/library/cc766404. aspx

NEW QUESTION: 3
The reconciliation report shows the Entered or transaction amount of the accounting entries booked to the intercompany receivables and payables accounts for___________.
A. A pair of provider and receiver legal entities
B. A provider only
C. Business segment only
D. A legal entity only
Answer: D
Explanation:
Note:
*intercompany reconciliation provides you with reports to assist you with
reconciling your intercompany receivables and intercompany payables accounts,
and to identify any differences.
*Oracle Fusion Financials expedites the reconciliation process with interactive reconciliation reports that compare open receivables and open payables balances to the corresponding balances in Fusion General Ledger. If differences exist, it performs the labor-intensive process of matching each transaction to its respective accounting entry and automatically finds all transactions and accounting entries that contribute to the out-of-balance situation.
*The Accrual Reconciliation Report is used to analyse un-invoiced receipts and to reconcile the balance of the Accounts Payable accrual accounts.
This report enables you to identify the following problems in receiving, purchasing, inventory, work in process, or accounts payable transactions:
Reference: Oracle Fusion Applications Financial Control and Reporting, Accounting Transactions, Tax Transactions, and Reporting Guide, Intercompany, Reconciliation: Explained

NEW QUESTION: 4
What is a difference between an Infrastructure Basic Service Set (BSS) network and an Ad Hoc network?
A. A BSS is recommended for enterprise WLANs, while Ad Hoc deployments are recommended for small and medium businesses.
B. In an Ad Hoc network, only one WLAN controller is used. A BSS allows multiple WLAN controllers to be connected together to form a mobility domain.
C. An Ad Hoc network allows only legacy security options such as WEP. A BSS allows the creation of a robust security network (RSN) using security methods such as WPA2-Personal.
D. In a BSS, an access point is used for connectivity to the wired network infrastructure. In an Ad Hoc network, client stations communicate directly with each other.
Answer: D