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Oracle Cloud Infrastructure 2025 Migration Architect Professional

  • Exam Number/Code : 1Z0-1123-25
  • Exam Name : Oracle Cloud Infrastructure 2025 Migration Architect Professional
  • Questions and Answers : 213 Q&As
  • Update Time: 2019-01-10
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NEW QUESTION: 1
Which one of the following are recommended practices regarding
electronic monitoring of employees email? Select three.
A. Inform all that e-mail is being monitored by means of a prominent log-in banner.
B. Explain who is authorized to read monitored email.
C. Apply monitoring in a consistent fashion.
D. Provide individuals being monitored with a guarantee of email privacy.
Answer: A,B,C
Explanation:
No guarantee of e-mail privacy should be provided or implied by the employer.

NEW QUESTION: 2
柔軟な管理とジョブマネージャーに関する本当の声明はどれですか?
A. Job Managerは、環境のマスターリポジトリも維持します。
B. 柔軟な管理は、Network Deploymentセルに代わるものです。
C. 展開マネージャーをジョブマネージャーに登録できます。
D. 柔軟な管理には、安全なプロキシサーバーが必要です。
Answer: C

NEW QUESTION: 3
While investigating slow logins, the logon duration is missing as shown in the attached exhibit.

What two actions will report logon duration? (Choose two.)
A. Restart the Horizon Broker Agent.
B. Synchronize time on Horizon Broker Agent, Desktop Agent and Events DB.
C. Reboot all Horizon Connection Servers.
D. Enable the logon duration option in the Horizon Broker Agent configuration.
Answer: A,B
Explanation:
Explanation/Reference:
Reference: https://docs.vmware.com/en/VMware-vRealize-Operations-for-Horizon/6.5/ com.vmware.vrealize.horizon.admin/GUID-3312F598-8ADE-4106-BFC5-5E023FBC83B0.html

NEW QUESTION: 4
You have created two transactions with a 30 day payment term. The first transaction is on january 29, 2015 and the second transaction Is on January 31, 2015. The Invoice date is the same as the system date. Both transactions are assigned an unsigned receipt method that has the lead days set to 60, number of bills receivable rule set to one per customer, and the bills receivable maturity date rule set to latest.
Which statement is true when the create bills receivable batch is processed for a customer on January 31, 2015?
A. A Bills Receivable is created with the issue date as January 31, 2015 and the maturity date as March 2, 2015.
B. Two Bills Receivable transactions are created with the Issue date and accounting date as January
29, 2015 and January 31, 2015, respectively.
C. Two Bills Receivable transactions are created with maturity dates as March 30, 2015 and April 1, 2015.
D. A Bills Receivable is created with the Issue date as January 31, 2015 and the maturity date
As February 28, 2015.
E. Two Bills Receivable transactions are created with the Issue dates as January 29, 2015 and January 31, 2015.
F. A Bills Receivable is created with the Issue date as January 31, 2015 and the maturity date as March 30, 2015.
Answer: D