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NEW QUESTION: 1
An inventory control clerk manages adjustments in inventory.
Some adjustments have a cost impact. Other adjustments must be posted to a specific ledger account or must be registered in inventory.
You need to configure the system.
Which journal types should you use? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.

Answer:
Explanation:

Explanation


NEW QUESTION: 2
Your organization is using Project Online to facilitate the selection of optimal portfolios.
The Project Management Office (PMO) expects to analyze the portfolio of projects in a short period of time by using the efficient frontier and the strategic value provided by the tool.
You need to ensure the tool provides the expected outcome.
Which three actions should you perform? (Each correct answer presents part of the solution. Choose three.)
A. Create a custom field to be used as alias when force-in or force-out options are selected.
B. Create a custom workflow that allows the capture of projects with business-relevant information.
C. Define the list of projects that include cost estimates.
D. Populate and configure the resource pool, including maximum units, resource calendars, and a primary role field.
E. Define and rank specific business drivers or other factors relevant to the project approval process.
F. Create a custom cost field to be used as a cost constraint.
Answer: C,D,E
Explanation:
Explanation/Reference:
The following three steps must be performed to prepare for portfolio analysis:
/(E) Define business drivers or other factors relevant to the project approval process.
/(B) Define the demand profile, i.e. define the list of projects including resource level of effort estimates and/or cost estimates.
/ (F) Define the resource supply by populating and configuring the resource pool.
Reference: Portfolio Analysis with Microsoft Project Server 2010, White paper

NEW QUESTION: 3
Where does the data get pulled from during an extract migration in IBM App Connect Enterprise?
A. An existing Integration Server
B. Deployed BAR files
C. An IBM MQ queue manager
D. Generated Project Interchange (PI) files
Answer: A

NEW QUESTION: 4
What is the difference between the base grand total and grand total attributes of the order?
A. base_grand_total is the grand total at the moment of order submission; grand_total is the grand total at the moment of order closing.
B. base_grand_total is the grand total in the currency of the store where the order was submitted; grand_total is in US dollars always.
C. base_grand_total is in a base currency and grand_total is in the currency of the website where the order was submitted.
D. base_grand_total is a grand total before tax is applied; grand_total is the grand total after tax is applied.
Answer: C