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NEW QUESTION: 1
An administrator has Backup Exec 16 with the Capacity Edition Lite. The administrator purchases a new, additional tape library with three tape drives.
How can the administrator use the tape library with three tape drives?
A. purchase theEnterprise Server Option (ESO)
B. purchase two licenses forLibrary Expansion Option (LEO)
C. add aVTL Unlimited Drive Option (VUDO)
D. upgrade to theCapacity Edition
Answer: D

NEW QUESTION: 2
The record of how the profit or loss of a company has been allocated to distributions and reserves is found in the:
A. Appropriation account
B. Capital account
C. Reserves account
D. Retained profit account
Answer: A

NEW QUESTION: 3
XYZ is a chemical manufacturing company. On a daily basis, it produces 100 kilos of Item A from a single production batch. 100 kilos of item A manufactured from a single batch has a single expiration date.
However, the purity of item A varies as follows:
Category 1: 95%
Category 2: 85%
Category 3: 50%
From an implementation perspective, which setup or process would meet this requirement?
A. Enable lot and serial control for item A Create one lot and three categories that are mapped with serial numbers.
B. Enable lot control. Map three categories as coproducts.
C. Enable lot control for item A Create three child lots and link them with the parent lot.
D. Enable lot control for item A Create three lots to represent the categories.
E. Enable lot and grade control for item A Have three categories mapped with grades.
Answer: E
Explanation:
Explanation/Reference:
Explanation:

NEW QUESTION: 4
Your Subledger Accountants are attempting to import their journals to the general ledger at the end of the period. The Journal import processes have completed with a warning and no
Journals were generated. Which three steps would you take to troubleshoot this?
A. Confirm that data was sent from the subledger.
B. Run the Journal Import for all the group IDs.
C. Delete the related data on the GL interface table.
D. Verify the output of the Journal Import Request
E. Resend the transactions from the subledgers.
Answer: B,C,D
Explanation:
Note:
* If you have only a few Journal Import errors, correct the errors from the Correct Journal
Import Data widow, then rerun Journal Import on the corrected data.
* If the number of Journal Import errors is high, delete all of the import data for your journal entry source and group ID. Correct the errors then repopulate the GL_INTERFACE table before rerunning Journal Import.
Note 2:
To import journal entries to General Ledger:
1 .Navigate to the Import Journals window.
2 .Enter the Source from which you want Journal Import to create journal entries.
3 .You can import data for the same or different sources in parallel by specifying a unique
Group ID for each request. General Ledger imports data with the journal entry source and group ID combination you specify.
If you do not specify a group ID, General Ledger imports data from the specified journal entry source with no corresponding group ID.
4.Define the Journal Import Run Options.
5.Choose whether to Import Descriptive Flexfields, and whether to import them with validation.
If you choose not to create summary journals, you can Import Descriptive Flexfields along with your journal information. You can import descriptive flexfields With Validation and generate journals only when validation succeeds. Or, you can import descriptive flexfields
Without Validation and generate all journals.
Warning: Importing descriptive flexfields without validation may cause problems when modifying journal lines. If you import descriptive flexfields with errors, you may corrupt the journal lines to which they refer.
6 .Enter a Date Range to have General Ledger import only journals with accounting dates in that range. If you do not specify a date range, General Ledger imports all journals data.
7 .Choose Import to submit a concurrent process to import journals. General Ledger names the resulting batch as follows: <REFERENCE1> <Source> <Request ID>: <Actual Flag>
< Group ID>; for example, 587-C Payables 18944: A 347.
8 .Review the Journal Import Execution Report to determine the number of errors in the import data, and how to correct any Journal Import errors.