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NEW QUESTION: 1
Which of the following procedures would an auditor most likely perform in auditing the statement of cash
flows?
A. Compare the amounts included in the statement of cash flows to similar amounts in the prior year's
statement of cash flows.
B. Reconcile the cutoff bank statements to verify the accuracy of the year-end bank balances.
C. Vouch all bank transfers for the last week of the year and first week of the subsequent year.
D. Reconcile the amounts included in the statement of cash flows to the other financial statements'
balances and amounts.
Answer: D
Explanation:
Explanation/Reference:
Explanation:
Choice "D" is correct. To audit the statement of cash flows, the auditor reconciles the amounts on the
statement to amounts on other financial statements.
Choice "A" is incorrect. Comparison of amounts on the cash flow statement with those of the previous
period is an analytical procedure that is not commonly used to audit the statement of cash flows, since
sources and uses of cash in the current year are not necessarily predictable based on sources and uses
from the prior year.
Choice "B" is incorrect. Reconciling the cutoff bank statement is a procedure used to audit the cash
balance, rather than the statement of cash flows.
Choice "C" is incorrect. Vouching all bank transfers is a procedure used to audit the cash balance, rather
than the statement of cash flows.
NEW QUESTION: 2
Sie müssen die Anwendungsanforderungen für App1 erfüllen.
Welche drei Aktionen sollten Sie ausführen? Jede richtige Antwort ist Teil der Lösung.
HINWEIS: Jede richtige Auswahl ist einen Punkt wert.
A. Laden Sie auf einem lokalen Server den Microsoft AAD Application Proxy-Connector herunter und installieren Sie ihn.
B. Installieren Sie auf einem lokalen Server den Assistenten für die Hybridkonfiguration.
C. Konfigurieren Sie im Microsoft 365 Admin Center die Einstellungen für den Software-Download.
D. Fügen Sie im Azure Active Directory-Verwaltungscenter eine Unternehmensanwendung hinzu.
E. Konfigurieren Sie im Azure Active Directory-Verwaltungscenter die Einstellungen für die Anwendungs-URL.
Answer: A,D,E
Explanation:
Erläuterung:
Verweise:
https: //docs.microsoHYPERLINK "https://docs.microsoft.com/en-us/azure/active-directory/manage-apps/application-proxy#how-application-proxy-works"ft.com/en- de / azure / active-directory / manage-apps / application-proxy # wie-application-proxy-funktioniert
NEW QUESTION: 3
Refer to the exhibit.
You configure an MTU on an Ethernet port profile. Where is the MTU value unsupported?
A. pNIC on the VEM
B. VMware vCenter
C. Cisco Nexus 1000V Series 1000V Switch
D. vNIC of the VEM
Answer: D
NEW QUESTION: 4
What is the purpose of a chassis cluster?
A. Chassis clusters are used to group two chassis into one logical chassis.
B. Chassis clusters are used to create aggregate interfaces.
C. Chassis clusters are used to group all interfaces into one cluster interface.
D. Chassis clusters are used to aggregate routes.
Answer: A
Explanation:
The Junos OS achieves high availability on Junos security platforms using chassis clustering. Chassis clustering provides network node redundancy by grouping two like devices into a cluster. The two nodes back each other up with one node acting as the primary and the other as the secondary node, ensuring the stateful failover of processes and services in the event of system or hardware failure. A control link between services processing cards (SPCs) or revenue ports and an Ethernet data link between revenue ports connect two like devices. Junos security platforms must be the same model, and all
SPCs, network processing cards (NPCs), and input/output cards (IOCs) on high-end platforms must have the same slot placement and hardware revision.
The chassis clustering feature in the Junos OS is built on the high availability methodology of Juniper Networks M Series and T Series platforms and the TX Matrix platform, including multichassis clustering, active-passive Routing Engines (REs) , active-active Packet
Forwarding Engines (PFEs), and graceful RE switchover capability.