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Mist AI Wireless, Specialist (JNCIS-MistAI-Wireless)
- Exam Number/Code : JN0-452
- Exam Name : Mist AI Wireless, Specialist (JNCIS-MistAI-Wireless)
- Questions and Answers : 213 Q&As
- Update Time: 2019-01-10
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NEW QUESTION: 1
You want to specify Intercompany System Options. Which three factors should you consider? (Choose three.)
A. automatic or manual batch numbering and the minimum transaction amount
B. whether to enforce an enterprise-wide currency or allow intercompany transactions in local currencies
C. automatic or manual batch numbering and the maximum transaction amount
D. the approvers who will approve intercompany transactions
E. whether to allow receivers to reject intercompany transactions
Answer: A,B,E
Explanation:
Section: (none)
NEW QUESTION: 2
Note: This question is part of a series of questions that present the same scenario. Each question in the series contains a unique solution that might meet the stated goals. Some question sets might have more than one correct solution, while others might not have a correct solution.
After you answer a question in this section, you will NOT be able to return to it. As a result, these questions will not appear in the review screen.
You have the following C# code. (Line numbers are included for reference only.)
You need the foreach loop to display a running total of the array elements, as shown in the following output.
1
3
6
10
15
Solution: You insert the following code at line 02:
Does this meet the goal?
A. Yes
B. No
Answer: B
Explanation:
x += y is equivalent to x = x + y
References: https://docs.microsoft.com/en-us/dotnet/csharp/language-reference/operators/addition-assignment-operator
NEW QUESTION: 3
XYZ Corporation uses Fixed Assets to manage their Asset transactions such as capitalizing, depreciating, adjusting, and retiring. After assets are purchased and the invoice is entered and accounted for, the company runs the Mass Additions Create process to send assets to Fixed Assets. When the purchase order is written, which account must be specified on the purchase order distribution for the charge account?
A. the asset clearing account associated with an asset category in Assets
B. the AP trade liability account associated with the operating unit
C. the material account associated with the inventory organization
D. the asset cost account associated with an asset category in Assets
Answer: A
NEW QUESTION: 4
You deploy a new certificate to a Client Access server.
You test the new certificate by using Outlook Anywhere from the Internet.
The test generates certificate errors.
You need to prevent the errors from reoccurring.
To which two stores should you add the root CA certificate? (Each correct answer presents
part of the solution. Choose two.)
A. the Trusted Root Certification Authorities store on the client computers
B. the personal store on the Client Access server
C. the personal store on the client computers
D. the Trusted Root Certification Authorities store on the Client Access server
E. the personal store on the Mailbox servers
F. the Trusted Root Certification Authorities store on the Mailbox servers
Answer: A,D
Explanation:
D: Outlook Anywhere won't work with a self-signed certificate on the Client Access server. Self-signed certificates must be manually copied to the trusted root certificate store on the client computer or mobile device. When a client connects to a server over SSL and the server presents a self-signed certificate, the client will be prompted to verify that the certificate was issued by a trusted authority. The client must explicitly trust the issuing authority. If the client confirms the trust, then SSL communications can continue.
E: If you are providing external access to Autodiscover by using Outlook Anywhere you must install a valid SSL certificate on the Client Access server.