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Exam Code: ITIL-4-Practitioner-Deployment-Management Dumps

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NEW QUESTION: 1
An organization wants to standardize the 802 1X configuration on their switches and remove static ACLs on the switch ports while allowing Cisco ISE to communicate to the switch what access to provide What must be configured to accomplish this task?
A. port security on the switch based on the client's information
B. extended access-list on the switch for the client
C. dynamic access list within the authorization profile
D. security group tag within the authorization policy
Answer: D
Explanation:
https://www.cisco.com/c/en/us/td/docs/security/ise/1-2/user_guide/ise_user_guide/ise_sga_pol.html#

NEW QUESTION: 2
Which of these represents an IPv6 link-local address?
A. FE08::280e:611:a:f14f:3d69
B. FE80::380e:611a:e14f:3d69
C. FEFE:0345:5f1b::e14d:3d69
D. FE81::280f:512b:e14f:3d69
Answer: B
Explanation:
Understanding IPv6 Link Local Address
The purpose of this document is to provide an understanding of IPv6 Link-local address in a network. A link-local address is an IPv6 unicast address that can be automatically configured on any interface using the link-local prefix FE80::/10 (1111 1110 10) and the interface identifier in the modified EUI-64 format. Link-local addresses are not necessarily bound to the MAC address (configured in a EUI-64 format). Link-local addresses can also be manually configured in the FE80::/10 format using the ipv6 address link-local command.
Reference:
http://www.cisco.com/en/US/tech/tk872/technologies_configuration_example09186a0080ba1d07.shtml

NEW QUESTION: 3
DRAG DROP


Answer:
Explanation:


NEW QUESTION: 4
You have defined two expenditure types, but they are not available for selection when you enter an expenditure batch. Identify the reason for this problem. ( the best answer.)
A. The two expenditure types are not assigned to the reference data set that is assigned to the project-owning organization in which the transaction is performed.
B. The two expenditure types are not assigned to the reference data set that is assigned to the project expenditure organization in which the transaction is performed.
C. The two expenditure types are not assigned to the reference data set that is assigned to the business unit in which the transaction is performed.
D. The two expenditure types are not assigned to the reference data set that is assigned to the project unit in which the transaction is performed.
Answer: D
Explanation:
Explanation
Ref: Implementing-Project-Financial-Management-and-Grants-Management.pdf (19A Part # F11256-01) Chapter 3 - Define Project Organizations Topic - Set Assignments and Project Data - How They Work Together (Page 29) Business Unit as Set Determinant Business units enable you to control and report on financial transactions, usually for specific geographical entities within the enterprise. For project management purposes, assign the Project Accounting business function to the business unit.
Business unit is a set determinant for the project-related reference data objects described in the following table.
Ref Data Object
Entities
Project Accounting Definition
Project Types
Project Rates
Project rate schedules
Project Unit as Set Determinant
Use project units to enforce consistent project management practices across your enterprise. Project unit is a set determinant for the reference data objects described in the following table.
Ref Data Object
Entities
Project Definition
Class codes, financial plan types, project plan types and project roles Project Transaction Types Expenditure types and work types You can only select class codes, plan types, roles, expenditure types and work types that are assigned to the same set as the project unit. To enable expenditure types and work types for use on projects owned by a project unit, assign the set associated with the Project Transaction Types reference data object to those entities


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