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NEW QUESTION: 1
Ein Projekt befindet sich in der Phase des Wissenstransfers, und einige Fachexperten (KMU) gingen zum Wissenstransfer zum Kundenstandort. Die KMU haben verschiedene Prozessabweichungen erfasst, ohne sie mit dem Projektteam zu teilen. Wie kann der Projektmanager den Wissenstransfer im gesamten Team sicherstellen?
A. Bitten Sie das Projektmanagementbüro (PMO), den Teammitgliedern Echtzeit-Transparenz für Abweichungen zu bieten und den Teammitgliedern die Lösung von Problemen zu erleichtern
B. Bitten Sie das Projektteam, eine Besprechung zur Überprüfung des Abweichungsprotokolls mit dem Kunden durchzuführen. Dabei wird hervorgehoben, dass das Projekt möglicherweise nicht wie geplant live geschaltet werden kann
C. Bitten Sie das Projektteam, während der Projektabschlussphase eine Sitzung mit den gewonnenen Erkenntnissen durchzuführen, um dieses Problem zu berücksichtigen
D. Bitten Sie die KMU, die Dokumente zum Wissenstransfer mit allen anderen Mitgliedern zu teilen, indem Sie die Dokumente in das Projektmanagement-Informationssystem (PMIS) stellen.
Answer: D

NEW QUESTION: 2
When you established the change control board for your avionics project, you established specific procedures to govern its operation. The procedures require all approved changes to baselines to be reflected in the______________.
A. Performance measurement baseline
B. Project management plan
C. Quality assurance plan
D. Change management plan
Answer: B
Explanation:
Explanation/Reference:
Explanation:
The project management plan must be updated changes to subsidiary plans and baselines subject to formal change control processes. Those changes must be communicated to appropriate stakeholders in a timely manner.

NEW QUESTION: 3
As part of its closing process, XYZ Corporation reviews receipt accruals. Occasionally, Payables matches incorrectly, and therefore they find that some perpetual accruals never clear, leaving reconciliation items on their accrual reports.
Which two actions can they perform to solve the problem? (Choose two.)
A. Run the Matching Hold Detail Report to identify the receipt that has not cleared and use the Write-Off window to remove the item from reappearing on subsequent reports. Create a manual journal entry in General Ledger to clear the accrual.
B. Run the Uninvoiced Receipts Report to identify the receipt accrual that has not cleared and create a manual journal entry in General Ledger to clear the receipt from the report.
C. Run the Accrual Rebuild Reconciliation Report to identify the receipt accrual that has not cleared and use the Write-Off window to remove the item from reappearing on subsequent reports. Create a manual journal entry in General Ledger to clear the accrual.
D. Reverse the invoice distributions and rematch if possible.
Answer: C,D

NEW QUESTION: 4
Cisco UCS Cシリーズラックマウントサーバーにコンソール接続するために必要な3つのツールはどれですか。 (3つ選択してください。)
A. monitor
B. USB serial adapter
C. laptop
D. Cisco DB-9-to-RJ-45 console cable
E. keyboard
F. KVM dongle
Answer: A,E,F