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GIAC Security Operations Manager
- Exam Number/Code : GSOM
- Exam Name : GIAC Security Operations Manager
- Questions and Answers : 213 Q&As
- Update Time: 2019-01-10
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NEW QUESTION: 1
A. Option D
B. Option B
C. Option A
D. Option C
Answer: C
Explanation:
First we should check Branch3 (and R1) with the "show ip interface brief" command to find any Layer1/Layer 2 issue.
We see the interfaces connecting between them are in "up/down" states which indicates an
Layer 2 issue so we should check the configuration of these interfaces carefully with the
"show running-config" command and pay attention to these interfaces.
and on Branch3:
We learn from above config is R1 is using CHAP to authenticate Branch3 router (via the
"ppp authentication chap" command on R1). Branch3 router is sending CHAP hostname
"Branch_3" and CHAP password "Branch3_Secret!" to R1 to be authenticated. Therefore we should check if R1 has already been configured with such username and password or not with the "show running-config" command on R1:
R1_show_run_username.jpg
On R1 we see the configured username is "Branch3", not "Branch_3" so the usernames here are mismatched and this is the problem -> Answer A is correct.
NEW QUESTION: 2
シスコ製スイッチのスタッキングに関する2つのステートメントはどちらが正しいですか。 (2つ選んでください)
A. 各スイッチは独自のMACアドレステーブルを管理します。
B. 新しいマスタースイッチが選出されると、以前のマスターに実行コンフィギュレーションを問い合わせます。
C. 管理者は、需要が増加したときにスタックにスイッチを追加できます。
D. 複数の単一管理を管理できます
E. 管理者は、同じ管理ドメインの配下にあるネットワーク内に、スイッチのスタックを1つだけ作成できます。
Answer: B,D
NEW QUESTION: 3
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. Two Bills Receivable transactions are created with the issue date and accounting date as January 29,
2015 and January 31, 2015, respectively.
B. A Bills Receivable is created with the issue date as January 31, 2015 and the maturity date as March 30,
2015.
C. Two Bills Receivable transactions are created with maturity dates as March 30, 2015 and April 1, 2015.
D. Two Bills Receivable transactions are created with the issue dates as January 29, 2015 and January 31,
2015.
E. A Bills Receivable is created with the issue date as January 31, 2015 and the maturity date as February
28, 2015.
F. A Bills Receivable is created with the issue date as January 31, 2015 and the maturity date as March 2,
2015.
Answer: C