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ITIL 4 Practitioner: Release Management Exam

  • Exam Number/Code : ITIL-4-Practitioner-Release-Management
  • Exam Name : ITIL 4 Practitioner: Release Management Exam
  • Questions and Answers : 213 Q&As
  • Update Time: 2019-01-10
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NEW QUESTION: 1
If a well-defined activity has a parameter node with an incoming arrow and also contains a final node, which of these will always have values when the activity finishes?
A. final node
B. parameter node
C. both
D. exactly one
E. one or both
Answer: B

NEW QUESTION: 2
What are the reasons to perform regrouping of receivables and payables? (There are three correct
answers.)
A. To prioritize balance confirmation printing by postal code
B. To simplify and speed up dunning selection processing
C. To display receivables and payables separately
D. To group payables and receivables based on the due dates
E. To align amounts on accounts with changed reconciliation accounts
Answer: C,D,E
Explanation:
Regrouping has nothing to do with dunning, nor with balance confirmations.

NEW QUESTION: 3
What new prompt is added to an IP set configuration to allow for assigning a set for Zone Based Doling?
A. the DIALPLAN prompt
B. the ZBO prompt
C. the ZONE prompt
D. the NUMZONE prompt
Answer: D
Explanation:
Explanation/Reference:
Explanation:

NEW QUESTION: 4
Which of the following is correct?
A. A fixed charge is a charge over a specific asset of the company which it is able to deal with freely in the ordinary course of business.
B. A fixed charge is a charge over a specific asset of the company which it is unable to deal with freely in the ordinary course of business.
C. A fixed charge is a charge over a class of company assets which the company can deal with freely in the ordinary course of business.
D. A fixed charge is a charge over a class of company assets which the company is unable to deal with freely in the ordinary course of business.
Answer: B