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NEW QUESTION: 1
新しいAzureサブスクリプションを作成します。
Azure Security Centerでカスタムアラートルールを作成できることを確認する必要があります。
実行すべき2つのアクションはどれですか?それぞれの正解はソリューションの一部を示しています。
注:それぞれの正しい選択には1ポイントの価値があります。
A. オンボードAzure Active Directory(Azure AD)ID保護。
B. Azure Advisorの推奨事項を実装します。
C. Azureストレージアカウントを作成します。
D. Security Centerの価格帯をStandardにアップグレードします。
E. Azure Log Analyticsワークスペースを作成します。
Answer: C,E
Explanation:
Explanation
D: You need write permission in the workspace that you select to store your custom alert.
References:
https://docs.microsoft.com/en-us/azure/security-center/security-center-custom-alert
NEW QUESTION: 2
Which Sourcefire event action should you choose if you want to block only malicious traffic from a particular end user?
A. Allow without inspection
B. Trust
C. Monitor
D. Block
E. Allow with inspection
Answer: E
Explanation:
A file policy is a set of configurations that the system uses to perform advanced malware protection and file control, as part of your overall access control configuration.
A file policy, like its parent access control policy, contains rules that determine how the system handles files that match the conditions of each rule. You can configure separate file rules to take different actions for different file types, application protocols, or directions of transfer.
You can associate a single file policy with an access control rule whose action is Allow, Interactive Block, or Interactive Block with reset. The system then uses that file policy to inspect network traffic that meets the conditions of the access control rule.
Source: http://www.cisco.com/c/en/us/td/docs/security/firesight/541/firepower-module-user- guide/asa-firepower- module-user-guide-v541/AMP-Config.html
NEW QUESTION: 3
Your customer has a large number of legal entities. The legal entity values are defined in the company segment which represents the primary balancing segment. They want to easily create eliminating entries for their intercompany activity. What would you recommend?
A. There is no need to define an intercompany segment. You can track the intercompany trading partner using distinct intercompany receivable/payable natural accounts to identify the trading partner
B. Define an intercompany segment and qualify it as the second balancing segment to make sure all entries are balanced for the primary balancing segment and intercompany segment
C. Define an intercompany segment in the chart of accounts. The Intercompany module and the Intercompany balancing feature in general ledger and subledger accounting will automatically populate the intercompany segment which the balancing segment value of the legal entity with which you are trading
D. There is no need to define an intercompany segment, the Intercompany module keeps track of the trading partners for you based on the intercompany rules to define
Answer: C
Explanation:
Section: (none)