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Vendor: CIPS

Exam Code: L5M4 Dumps

Questions and Answers: 104

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NEW QUESTION: 1
You are validating your customer's import template before import.The customer requires that all controls be
set up so they are noted to be used for the Audit Test assessment type. How do you verify that this has been
done?
A. The Control has a related process.
B. The Control comment field has a notation for "Audit Test."
C. The Control status field is set to "Audit Test."
D. The Assessment Flag and the Audit Testing Flag are both set to "Y."
Answer: D

NEW QUESTION: 2
Refer to the exhibit.

A multilayer switch has been configured to send and receive encapsulated and tagged frames. VLAN 2013 on the multilayer switch is configured as the native VLAN. Which option is the cause of the spanning-tree error?
A. VLAN spanning-tree in SW-2 is configured.
B. VLAN ID 1 should not be used for management traffic because its unsafe.
C. spanning-tree bpdu-filter is enabled.
D. 802.1q trunks are on both sides, both with native VLAN mismatch.
Answer: D
Explanation:
Explanation/Reference:
Here we see that the native VLAN has been configured as 2013 on one switch, but 1 (the default native VLAN) on the other switch. If you use 802.1Q trunks, you must ensure that you choose a common native VLAN for each port in the trunk. Failure to do this causes Cisco switches to partially shut down the trunk port because having mismatched native VLANs can result in spanning-tree loops. Native VLAN mismatches are detected via spanning tree and Cisco Discovery Protocol (CDP), not via DTP messages. If spanning tree detects a native VLAN mismatch, spanning tree blocks local native VLAN traffic and the remote switch native VLAN traffic on the trunk; however, the trunk still remains up for other VLANs.
Reference: http://www.informit.com/library/content.aspx?b=CCNP_Studies_Switching&seqNum=25

NEW QUESTION: 3
FG granted share options to its 500 employees on 1 August 20X0. Each employee will receive 1,000 share options provided they continue to work for FG for the four years following the grant date. The fair value of the options at the grant date was $1.30 each. In the year ended 31 July 20X1, 20 employees left and another 50 were expected to leave in the following three years. In the year ended 31 July 20X2, 18 employees left and a further 30 were expected to leave during the next two years.
The amount recognised in the statement of profit or loss for the year ended 31 July 20X1 in respect of these share options was $139,750.
Calculate the charge to FG's statement of profit or loss for the year ended 31 July 20X2 in respect of the share options.
A. $293,800
B. $141,050
C. $154,050
D. $280,800
Answer: B

NEW QUESTION: 4
Which migration solution should you recommend for Project1?
A. From Exchange Online PowerShell, run the New-MaiboxExportRequest cmdlet.
B. From Exchange Online PowerShell, run the New-MaiboxImportRequest cmdlet.
C. From the Microsoft 365 admin center, start a data migration and click Upload PSST as the data service.
D. From the Exchange admin center, start a migration and select Remote move migration
Answer: D
Explanation:
Explanation
During Project1, some users will have mailboxes in Microsoft 365 and some users will have mailboxes in Exchange on-premises. To enable users be able to exchange email messages successfully during Project1 by using their current email address, we'll need to configure hybrid Exchange.
To migrate mailboxes in a hybrid Exchange configuration, you use Exchange admin center perform Remote move migrations.
Reference:
https://docs.microsoft.com/en-us/exchange/hybrid-deployment/move-mailboxes


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