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NEW QUESTION: 1
A Solutions Architect is creating an application running in an Amazon VPC that needs to access AWS Systems Manager Parameter Store. Network security rules prohibit any route table entry with a 0.0.0.0/0 destination.
What infrastructure addition will allow access to the AWS service while meeting the requirements?
A. AWS PrivateLink
B. NAT gateway
C. VPC peering
D. NAT instance
Answer: A
Explanation:
You can privately access AWS Systems Manager APIs from your VPC (created using Amazon Virtual Private Cloud) by creating VPC Endpoints. With VPC Endpoints, the routing between the VPC and AWS Systems Manager is handled by the AWS network without the need for an internet gateway, NAT gateway, or VPN connection. The latest generation of VPC Endpoints used by AWS Systems Manager are powered by AWS PrivateLink, a technology that enables private connectivity between AWS services using Elastic Network Interfaces (ENIs) with private IP addresses in your VPCs. To learn more about PrivateLink, visit the PrivateLink documentation.
https://docs.aws.amazon.com/vpc/latest/userguide/vpce-interface.html

NEW QUESTION: 2
Which three actions are facilitated through the Reconciliation Summary Report? (Choose three.)
A. drilldown to view data and use standard Excel functions such as sum, find, sort, and filtering without actually downloading to Excel
B. drilldown to see reconciliation details and to make reconciling corrections
C. drilldown to see details of unaccounted revenue transactions not transferred and posted to the General Ledger
D. drilldown from any of the summarized Receivables and Accounting amounts to see detailed activity
E. drilldown on the difference amounts to see specific reconciling items and the potential cause of the out- of-balance condition
Answer: C,D,E
Explanation:
Explanation/Reference:
Explanation:
C: Ideally the Summary report should display no differences between receivables transactional amounts and accounted amounts.
Any differences that you find require further investigation and possible correction. Common reasons for differences between transactional amounts and accounted amounts include:
Transactions that are not accounted.

Etc.

D: Drill down on any amount in the Summary report Difference column to display the Differences Detail report for that item. The Differences Detail reports display the details that make up balances from the Summary report, and indicate potential causes for differences between actual and reconciling amounts.
E: Receivables to Ledger Reconciliation Report
Provides reconciliation of receivables data to the general ledger.

Shows receivables and accounting beginning and ending balances, as well as summarized activity for

the period and how the activity was accounted.
References: https://docs.oracle.com/cloud/latest/financialscs_gs/OCUAR/ OCUAR1559320.htm#OCUAR1576621

NEW QUESTION: 3
Hotspot questions


Which three statements are correct regarding the various multicast groups? (Choose three.)
A. CE5 has a Null OILforthe (*,224.1.1.1) entry
B. PE5 has a Null OILforthe (*,224.0.1.40) entry
C. Currently there is no source sending traffic to the 224.1.1.1 multicast group
D. CE5 has joined the 224.0.1.40 multicast group
E. PE5 has a Null OILforthe (*,224.1.1.1) entry
Answer: A,D,E
Explanation:
Explanation/Reference:
#show ip mroute