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NEW QUESTION: 1
Which four statements are true about the uses of the Workflow Manager for an administrator? (Choose four.)
A. It controls the Workflow system services, including background engines, purging of obsolete Workflow data, and clean up of the Workflow control queue.
B. It helps monitor work item processing by providing a summary of the distribution of all workitemsbystatusand the option to drill down for additional information.
C. It helpsrun the Workflow service components, such as notification mailers and agent listeners.
D. It monitors event message processing for local Business Event System agents.
E. It loads the definitions from the source XML file into the Business Event System tables in the database.
Answer: A,B,C,D
Explanation:
A: With Workflow Manager administrators can monitor event message processing for local Business Event System agents by viewing the distribution of event messages by status and drilling down to additional agent information. B, D: Using Oracle Workflow Manager, administrators can control Workflow system services, such as background engines, notification mailers, agent listeners, queue propagation, and purging obsolete Workflow data.
E: With Workflow Manager administrators can monitor work item processing by viewing the distribution of all work items by status and drilling down to additional information.
Note: Oracle Workflow Manager is a component of Oracle Applications Manager that allows system administrators to manage Oracle Workflow for multiple Oracle Applications instances from a single console.
With this ability to monitor work items and event messages, a system administrator can identify possible bottlenecks easily.
Reference: Oracle Workflow Manager

NEW QUESTION: 2
A user is designing a new service that receives location updates from 3 600 rental cars every hour.
The cars upload their location to an Amazon S3 bucket.
Each location must be checked for distance from the original rental location.
Which services will process the updates and automatically scale?
A. Amazon EC2 and Amazon Elastic Block Store (Amazon EBS)
B. Amazon S3 events and AWS Lambda
C. Amazon Kinesis Data Firehose and Amazon S3
D. Amazon Elastic Container Service (Amazon ECS) and Amazon RDS
Answer: C

NEW QUESTION: 3
Which two statements are true about creating and clearing receipts for bills receivable remittances?
A. For bills receivables that factored with recourse, the receipt is applied to short-term debt and the status of the bill is updated to paid.
B. For standard remittances, Receivables updates the status of the bills receivable to
Closed by running the close Matured bills receivable program to create receipts and apply them to the bills receivable, either at the maturity date plus the number of collection days or at the remittance date plus the number of collection days, whichever is later.
C. For standard remittances, Receivables updates the status of the bills receivable to
Remitted by running the close Matured bills receivable program to create receipts and apply them to the bills receivable, either at the maturity date plus the number of collection days or at the remittance date plus the number of collection days, whichever is later.
D. For factored remittances, receivables creates a receipt when a remittance is submitted.
E. For factored remittances with the automatic clearing method, run the Automatic clearing program to clear receipts on the receipt date plus the number of collection days.
F. For bills receivables that factored without recourse, the receipt is applied is applied to the bills receivable upon remittance and the status of the bill is updated to Closed.
Answer: B,D
Explanation:
https://docs.oracle.com/cloud/latest/financialscs_gs/FAOFC/FAOFC1479830.htm
Receivables creates a receipt for each bill receivable that is remitted to the bank. The bills receivable remittance receipt method for the remittance batch determines when a receipt is created. You create a receipt to record the accounting event of the expected funds transfer.
The receipt creation process differs for standard and factored remittances:
*
Standard remittances: Run the Close Matured Bills Receivable program to create receipts and apply them to bills receivable, either at the maturity date plus the number of collection days or at the remittance date plus the number of collection days, whichever is later. Receivables updates the status of the bill receivable to
Closed when the receipt is applied to the bill receivable.
*
Factored remittances: Receivables creates a receipt when a remittance is approved. For bills receivable that are factored with recourse, the receipt is applied to short term debt and the status of the bill is updated to Remitted. For bills receivable factored without recourse, the receipt is applied to the bill receivable upon remittance and the status of the bill is updated to Closed.

NEW QUESTION: 4
In an attempt to secure his wireless network, Bob implements a VPN to cover the wireless communications. Immediately after the implementation, users begin complaining about how slow the wireless network is. After benchmarking the network's speed. Bob discovers that throughput has dropped by almost half even though the number of users has remained the same.
Why does this happen in the VPN over wireless implementation?
A. Using a VPN on wireless automatically enables WEP, which causes additional overhead.
B. The stronger encryption used by the VPN slows down the network.
C. VPNs use larger packets then wireless networks normally do.
D. Using a VPN with wireless doubles the overhead on an access point for all direct client to access point communications.
Answer: D
Explanation:
By applying VPN the access point will have to recalculate all headers destined for client and from clients twice.


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