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NEW QUESTION: 1
Before implementing Fusion Financials, your customer used to manually reconcile their intercompany payables and receivables accounts.
What is a more automated approach to do this?
A. Create a query using Oracle Transactional Business Intelligence (OTBI) that will match the intercompany payables and receivables balances.
B. Use Oracle Hyperion Close Manager to automatically reconcile intercompany account balances.
C. In Fusion Financials, you must manually reconcile your intercompany account balances.
D. Run the BI Publisher reports called Intercompany Transaction Summary and Account Details to automatically reconcile intercompany balances.
E. Run the Intercompany Reconciliation report, which shows pairs of intercompany receivables and payables accounts that are out of balance.
Answer: A

NEW QUESTION: 2
You administer a Microsoft SQL Server 2012 database.
You have a SQL Server Agent job instance that runs using the service account. You have a
job step within the job that requires elevated privileges.
You need to ensure that the job step can run using a different user account.
What should you use?
A. an alert
B. a proxy
C. an operator
D. a schedule
Answer: B

NEW QUESTION: 3
When your bank or credit card company sends you a notification of changes in how it collects or shares data, it is sending that notification in compliance with:
A. ISO 27001
B. GDPR
C. HIPAA
D. FERPA
Answer: B
Explanation:
Under GDPR. it is mandatory to notify consumers how their data will be used