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Qualified Security Assessor V4 Exam
- Exam Number/Code : QSA_New_V4
- Exam Name : Qualified Security Assessor V4 Exam
- Questions and Answers : 213 Q&As
- Update Time: 2019-01-10
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NEW QUESTION: 1
Your customer is a global company and has multiple legal entities across countries:
Vision China (Legal Entity) 1) has a China Distribution Business Unit (BU).
Vision US (Legal Entity) 2) has a US Distribution BU.
They have the following requirements:
1. To make purchases from or sell to the other legal entities using intercompany transaction
2. To automatically determine the sold-to legal entity on a Purchase Order (PO) by using Supply Chain Financial Orchestration (SFO) Identify three applicable setups in Oracle Procurement Cloud to fulfill these requirements.
A. Create Profit Center BU to Party Relationships.
B. Set up the Default Legal Entity on the Configure Requisitioning Business Process page.
C. Set up the "Multiple Legal Entities on Order" value to "Allow" on the Configure Requisitioning Business Process page.
D. Define a primary route on financial orchestration flow to enforce the sold-to legal entity on a PO.
E. Set up the default procurement business unit for Default Legal Entity in Manage Purchasing Profile Options.
Answer: A,D,E
NEW QUESTION: 2
Welche der folgenden Aspekte sind eher domänenbezogen und welche eher technischer Natur?
(Weisen Sie alle Antworten zu.)
Answer:
Explanation:
NEW QUESTION: 3
Jack's company has a need for their engineers to be able to submit survey data when onsite from their mobile devices. Their needs include geolocation, taking pictures, augmented reality, and access to contacts. The data must be delivered via the existing IBM WebSphere Portal environment. Which approach would be best suited to meet these requirements?
A. Worklight Server only
B. WebSphere Portal with responsive web design
C. a hybrid mobile application
D. standalone IBM Worklight application
Answer: C
NEW QUESTION: 4
When developing the financial analysis for a routing and switching solution, which three tasks are performed prior to producing a business case for the customer? (Choose three.)
A. Understand how the customer will justify the investment and ensure that any financial risks are addressed.
B. Finalize the technology infrastructure and operational requirements to help ensure the financial analysis is accurate.
C. Perform ROI analysis, which typically cites cost categories, such as cost of the technology or solution, cost of deployment, and cost of operations.
D. Consider other financial factors associated with capital budgeting, such as how long the solution will be used before costs are recovered, the economic value of the technology investment, and return expectations on the technology investment.
E. Determine the cost-to-benefit ratios of both adopting and not adopting the proposed routing and switching solution.
F. Finalize customer requirements to ensure business operational readiness to help ensure that the financial analysis is accurate.
Answer: C,D,E