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NEW QUESTION: 1
What does the command vpn shell interface add numbered 192.168.0.1 192.168.0.2 Gateway_A to_B accomplish?
A. Between Security Gateways A and B, 192.168.0.1 is assigned as the endpoint IP address to Gateway 192.168.0.2 is assigned to Gateway B.
B. shell is not a valid option for the command vpn.
C. Between Security Gateways A and B 192.168.0.2 is assigned as the endpoint IP address to Gateway A. 192.168.0.1 is assigned to Gateway
D. This command can be used to create a VPN tunnel from the command line without having any VPN configuration in Smart Dashboard (although "IPSec VPN" must still be enabled on the gateway).
Answer: A

NEW QUESTION: 2
Your network contains an Active Directory forest named contoso.com. The functional level of the forest and the domain is Windows Server 2012 R2.
You plan to use Local Administrator Password Solution (LAPS) for all member servers.
You need to prepare the forest for LAPS.
Which two actions should you perform? Each correct answer presents part of the solution.
NOTE: Each correct selection is worth one point.
A. Run the Update-AdmPwdADSchema cmdlet.
B. Install the LAPS client-side extension on all domain controllers.
C. Run the Set-AdmPwdComputerSelfPermission cmdlet.
D. Run the Set-AdmPwdAuditing cmdlet.
E. Deploy an enterprise certification authority (CA).
Answer: A,C
Explanation:
Explanation
References:
https://blog.thesysadmins.co.uk/deploying-microsoft-laps-part-1.html

NEW QUESTION: 3
You have created an Invoice with an incorrect unit price. You need to perform the Rebill task from the Manage Transactions user interface to enter the correct transaction. Which two actions does the Manage Transactions user interface allow you to perform for the Rebill task?
A. Duplicate the original transaction.
B. Reverse the Transaction.
C. Correct the unit price.
D. Incomplete the transaction.
E. Create a credit memo.
Answer: A,E
Explanation:
When do I credit and rebill a transaction?
Sometimes the simplest way to manage a credit transaction is to credit and rebill. You credit the
entire balance of an invoice (B), duplicate the original invoice (A) and update the duplicate with the
correct information, then resubmit to the customer.
Common scenarios for credit and rebill include:
A customer indicates that an invoice does not reflect the correct price of a product or service. The
customer requests a new invoice with the correct information.
A customer wants to correct their accounting directly in the subledger, instead of making a manual
journal entry in general ledger. With credit and rebill, the credit memo reverses the accounting of
the original invoice, and the updated duplicate invoice creates new accounting for posting to
general ledger.
The customer wants to change the bill-to information on a posted transaction.
Reference: Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and
Collections Guide, When do I credit and rebill a transaction?

NEW QUESTION: 4
ユーザーは、変更なしで組織の標準ベースラインを持つ新しいマシンを受け取り、DHCP予約が更新されます。ユーザーは、パートナー企業のデータベースに接続できないことを報告するようになりました。ネットワーク技術者はログを確認し、このユーザーが以前は問題なくリモートデータベースにアクセスできたことを確認します。ネットワーク技術者が次をチェックする必要があるのは次のうちどれですか?
A. ホストベースのファイアウォール
B. B2BルーターACL
C. AおよびPTRレコード
D. Webプロキシ
Answer: B