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NEW QUESTION: 1
An administrator needs to shut down an AHV cluster to relocate hardware. The administrator upgrades NCC and runs health checks.
Which steps should the administrator perform next?
Item instructions: For each procedure, indicate the order in which that procedure must take place to meet the item requirements.
Answer:
Explanation:
Explanation
Reference:
https://next.nutanix.com/how-it-works-22/scheduled-power-outage-relocating-cluster-hardware-if-you-need-to-s
NEW QUESTION: 2
A. Option A
B. Option B
C. Option D
D. Option C
E. Option E
Answer: B,C,E
Explanation:
B:
* For a business that still receive checks from customer (and we are glad that we do), it is important to differentiate
the two elements of receiving a customer payment.
1. Applying the payment to an invoice.
2. Depositing the check.
Dynamics AX has a nice way of handling this through bridging accounts.
* In Methods of payment - customers (form)
Field: Bridging account
Select the account for bridging transactions. This account is used if you selected the Bridging posting check box.
D: In Methods of payment - vendors (form)
Field: Bridging account
Select the account for bridging transactions. This account is used if you selected the Bridging posting check box.
E: Set up a method of payment for postdated checks
1. Click Accounts payable > Setup > Payment > Methods of payment.
-or-
Click Accounts receivable > Setup > Payment > Methods of payment.
2. In the Method of payment field, enter the method of payment for a customer or a vendor. For more
information
3. In the Account type field, select Bank.
4. In the Payment account field, select the bank account that is used to deduct the invoice amount.
5. Select the Postdated check clearing posting check box to indicate that the check amount is posted to a
clearing account. (Select the clearing account in the Clearing account for issued checks or Clearing account for
received checks field in the Cash and bank management parameters form.) The Bridging posting check box is selected.
Note: A bridging account or a clearing account is a temporary account that is used to post a transaction until the
transaction is reconciled.
Reference: Methods of payment - customers (form) [AX 2012]
Methods of payment - vendors (form) [AX 2012]
Set up postdated checks [AX 2012];
NEW QUESTION: 3
Which of the following is characteristically of a CD?
A. It is a non-negotiable instrument.
B. The CD issuer can redeem the certificate at any time
C. A CD is a certificate for a gold deposit
D. A CD is a certificate for a time deposit
Answer: D
NEW QUESTION: 4
In the legal field, there is a term that is used to describe a computer system so that everyone can agree on a common definition. The term describes a computer for the purposes of computer security as any assembly of electronic equipment, hardware, software and firmware
configured to collect, create, communicate, disseminate, process, store and control data or information. This definition includes peripheral items such as keyboards, printers, and additional memory. The term that corresponds to this definition is:
A. An arithmetic logic unit (ALU)
B. A microprocessor
C. A central processing unit (CPU)
D. An automated information system (AIS)
Answer: D
Explanation:
In some ways, this terminology harkens back to the days of large
mainframe computers, but the term AIS is used in the legal community
to refer to a computer system. Answer a, CPU, refers to the portion of a computer that performs arithmetic and logical operations on datA. To support these operations, the CPU incorporates a hardware arithmetic logic unit or ALU (answer c). The CPU is synonymous with the word
processor. If the CPU is integrated onto a silicon chip, it is called a microprocessor (answer b). If the CPU is connected with memory and
Input/Output (I/O) through a set of wires called a bus, the resulting
combination is called a computer. This concept is shown in Figure.
b