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NEW QUESTION: 1
John is working for XYZ company. He received a tape from a customer that has the.dbf files and ORACLE_HOME database. He extracted the .dbf files from the tape to the server. After checking, he realized that the customer's DBA forgot to run preclone on the source database tier before taking a B ckup on the tape. To bring up the database successfully using adcfgclone.pl (postclone) on target, what action would you ask the customer's DBA to perform instead of requesting for a full backup again?
A. Runpreclone on the source database tier and request the customer's DBA to send only bin under the $ORACLE_HOME database.
B. Runpreclone on the source database tier and request the customer's DBA to send only the appsutil directory under the $ORACLE_HOME database.
C. Runpreclone on the source database tier and request the customer's DBA to send only the dbf system tablespace files.
D. Runpreclone on the source database tier and request the customer's DBA to send only the oraInventory directory.
E. Runpreclone on the source database tier and request the customer's DBA to send only <Context_name>.xml.
Answer: B

NEW QUESTION: 2
An entity has made all necessary adjusting entries and is now closing its accounts for the period. Dividends of US 1 ...x!.000 were declared and distributed during the year. The entry to close the dividends account would be
A. Income Summary US $30,000 Dividends US $30,000
B. Dividends US $30,000 Income Summary US $30,000
C. Retained earnings US $30,000 Dividends US $30,000
D. Dividends US $30,000 Retained earnings US $30,000
Answer: C
Explanation:
Assuming an account entitled "dividends" or "dividends declared" is debited when dividends payable is credited on the declaration date, it must be closed at the end of the period. The balance in this account is closed directly to retained earnings. The effect of declaring and paying dividends is to reduce retained earnings, so the entry is a debit to retained earnings and a credit to dividends.

NEW QUESTION: 3
You set up a new instance of Dynamics 365 for Finance and Operations.
The IT department needs to track requisitions for new equipment by using unique identifiers. Due to regulatory requirements, the unique identifiers must not have missing values. Everyone in the organization will make requisitions using the unique identifiers.
You need to establish unique identifiers.
What application features should you use? To answer, select the application feature to match the parameter in the answer area.
NOTE: Each correct selection is worth one point.

Answer:
Explanation:

Explanation


Reference:
https://docs.microsoft.com/en-us/dynamics365/unified-operations/fin-and-ops/organization-administration/numb


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