2022

MB-310 Exam Dumps Updated | Valid Microsoft Dynamics 365 Finance Exam Practice Material

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Need to know the Microsoft Dynamics 365 Finance exam basics first?

That’s a must.

Give you a brief introduction to the Microsoft Dynamics 365 Finance exam. The real exam consists of 40-60 questions and needs to be completed within 2 hours. To pass the exam, you need to score 700 points out of 1000. The exam fee is $165.

Exam MB-300: Microsoft Dynamics 365: Core Finance and Operations is associated with the MB-310 exam and you need to know about it as well.

Successfully passing the MB-300 and MB-310 exams will earn you a Microsoft Certified: Dynamics 365 Finance Functional Consultant Associate.

Dynamics 365 Finance Functional Consultant Associate Certification Flowchart

What useful learning materials should I pay attention to for the MB-310 exam?

  • Configure and use the general ledger in Dynamics 365 Finance
  • Configure and use cash and bank management, and sales tax in Dynamics 365 Finance
  • Work with accounts payable in Dynamics 365 Finance
  • Work with accounts receivable in Dynamics 365 Finance
  • Configure and use budgeting in Dynamics 365 Finance
  • Configure and manage fixed assets and Asset leasing in Dynamics 365 Finance
  • Get started with cost accounting for supply chains in Dynamics 365 Finance
  • Work with Expense management in Dynamics 365 Project Operations
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Microsoft MB-310 – Microsoft Dynamics 365 Finance Latest Questions Free

Q-1

SIMULATION
You are a functional consultant for Contoso Entertainment System USA (USMF). USMF plans to implement a new manufacturing department that will be based in Australia. You need to create a draft account structure for the new department. The account structure must use the same account structure as a department named Manufacturing India and be named Manufacturing Australia.

To complete this task, sign in to the Dynamics 365 portal.

Correct Answer:
You need to create an account structure with the same structure as the department named Manufacturing India by using the following instructions.

1. Go to Navigation pane > Modules > General ledger > Chart of accounts > Structures > Configure account structures.
2. On the Action pane, click New to open the drop dialog.
3. In the Account structure field, type a name to describe the purpose of the account structure.
4. In the Description field, type a description to specify the purpose of the account structure.
5. Click Create.
6. In the Segments and allowed values, click Add segment.
7. In the dimensions list, select the dimension to add to the account structure.
8. At the end of the list, click Add segment.
9. Repeat steps 6 to 9 as needed.
10. In the Allowed value details section, select the segment to edit the allowed values. For example, click the Main Account field.
11. In the Operator field, select an option, such as is between and includes.
12. In the Value field, type a value. For example, 600000.
13. In the through field, type a value. For example, 699999.
14. In the Allowed value details section, click Apply.
15. Repeat steps 10 to 15 as needed.
16. In the Allowed value details section, click Add new criteria.
17. In the Operator field, select an option, such as is between and includes.
18. In the Value field, type a value. For example, 033.
19. In the through field, type a value. For example, 034.
20. Click Apply.
21. In the grid, select the segment to edit the allowed values. For example, Cost Center.
22. In the CostCenter field, type a value. For example, 007..021.
23. In the Segments and allowed values, click Add.
24. In the MainAccount field, type a value. For example, 600000..699999
25. In the grid, select the segment to edit the allowed values. For example, Department.
26. In the Department field, type a value. For example, 032.
27. In the CostCenter field, type a value. For example, 086.
28. On the Action pane, click Validate.

Reference: https://docs.microsoft.com/en-us/dynamics365/finance/general-ledger/tasks/create-account-structures

Q-2

A company uses Dynamics 365 Finance to manage budgets.
You need to reallocate funds during the year.
Which budget code should you use?
A. Carry-forward
B. Zero-based
C. Pre-encumbrance
D. Transfer

Correct Answer: D

Reference: https://docs.microsoft.com/en-us/dynamics365/finance/budgeting/basic-budgeting-overview-configuration

Q-3

You are configuring the year-end setup in Dynamics 365 Finance. You need to configure the year-end setup to meet the following requirements: The accounting adjustments that are received in the first quarter must be able to be posted into the previous year\\’s Period 13. The fiscal year closing can be run again, but only the most recent closing entry will remain in the transactions. All dimensions from profit and loss must carry over into the retained earnings. All future and previous periods must have an On Hold status.

Solution:
Configure General ledger parameters.

Set the Delete close of year transactions option to No.

Set the Create closing transactions during transfer option to No.

Set the Fiscal year status to permanently closed option to No. Define the Year-end close template.
-Designate a retained earnings main account for each legal entity.

Set the Financial dimensions will be used on the Opening transactions option to No.

Set the Transfer profit and loss dimensions to Close All. Set all prior and future Ledger periods to a status of On Hold. Does the solution meet the goal?

A. Yes
B. No

Correct Answer: B

Reference: https://docs.microsoft.com/en-us/dynamics365/unified-operations/financials/general-ledger/year-end-close

Q-4

You are configuring the year-end setup in Dynamics 365 Finance. You need to configure the year-end set up to meet the following requirements:

The accounting adjustments that are received in the first quarter must be able be posted into the previous year\\’s Period 13. The fiscal year closing can be run again, but only the most recent closing entry will remain in the transactions. All dimensions from profit and loss must carry over into the retained earnings. All future and previous periods must have an On Hold status.

Solution:
Configure General ledger parameters.

Set the Delete close of year transactions option to Yes.

Set the Create closing transactions during transfer option to Yes.

Set the Fiscal year status to permanently closed option to No. Define the Year-end close template.
-Designate a retained earnings main account for each legal entity.

Set the Financial dimensions will be used on the Opening transactions option to No.

Set the Transfer profit and loss dimensions

Correct Answer: A

Reference: https://docs.microsoft.com/en-us/dynamics365/unified-operations/financials/general-ledger/year-end-close

Q-5

DRAG DROP
You are configuring a Dynamics 365 Finance environment for intercompany accounting. You create the following legal entities:

Company A
Company B

You need to configure intercompany accounting for both legal entities. Which three actions should you perform in sequence? To answer, move the appropriate actions from the list of actions to the answer area and arrange them in the correct order. NOTE: More than one order of answer choices is correct. You will receive credit for any of the correct orders you select.

Correct Answer:

Reference: https://docs.microsoft.com/en-us/dynamics365/finance/general-ledger/intercompany-accounting-setup

Q-6

After you answer a question in this section, you will NOT be able to return to it. As a result, these questions will not appear on the review screen. A client has one legal entity, two departments, and two divisions. The client is implementing Dynamics 365 Finance. The departments and divisions are set up as financial dimensions. The client has the following requirements:

1. Only expense accounts require dimensions posted with the transactions.
2. Users must not have the option to select dimensions for a balance sheet account.
You need to configure the ledger to show applicable financial dimensions based on the main account selected in a journal entry.

Solution: Configure two account structures: one for expense accounts and including applicable dimensions, and one for balance sheet and excluding financial dimensions. Does the solution meet the goal?

A. Yes
B. No

Correct Answer: A

Reference: https://docs.microsoft.com/en-us/dynamics365/finance/general-ledger/configure-account-structures

Q-7

A company has many customers who are not paying invoices on time. You need to use the collection letter functionality to manage customer delinquencies. What are two possible ways to achieve the goal? Each correct answer presents part of the solution. NOTE: Each correct selection is worth one point.

A. Cancel the collection letters after they are created and posted.
B. Print all of the collection letters.
C. Delete the collection letters after posting when an error occurs.
D. Post the collection letters.

Correct Answer: BD
Reference: http://d365tour.com/en/microsoft-dynamics-d365o/finance-d365fo-en/collection-letters/

Q-8

You are configuring account structures and advanced rules in Dynamics 365 Finance. All balance sheet accounts require Business Unit and Department dimensions. The Shareholder distribution account requires an additional dimension for the Principal. You need to set up the account structures.
What are two possible ways to achieve the goal? Each correct answer presents a complete solution. NOTE: Each correct selection is worth one point.

A. Create a new main account for each of the company\\’s principals. Then, create an account structure for all balance sheet accounts that includes the required dimension.
B. Create a new main account for Shareholder distribution. Add an advanced rule for the Principal dimension.
C. Create an account structure for all the balance sheet accounts. Set up an advanced rule for the Shareholder distribution account for the Principal dimension.
D. Create an account structure for balance sheet accounts without Shareholder distribution. Then, create a second account structure for Shareholder distribution that includes all required dimensions.

Correct Answer: CD

Reference: https://docs.microsoft.com/en-us/dynamics365/finance/general-ledger/configure-account-structures

Q-9

You are setting up the Accounts payable module and vendor invoice policies for an organization. You need to set up vendor invoice policies that run when vendor invoices are posted in the system. In which two ways can you set up the policies? Each correct answer presents a complete solution. NOTE: Each correct selection is worth one point.

A. Set up invoice matching validation for vendor invoice policy.
B. Configure the vendor invoice workflow to run the policies.
C. Run the policies when you post a vendor invoice by using the Vendor invoice page and when you open the Vendor invoice policy violations page.
D. Apply the policies to invoices that were created in the invoice register or invoice journal.

Correct Answer: BC

Reference: https://docs.microsoft.com/en-us/dynamicsax-2012/appuser-itpro/key-tasks-vendor-invoice-policies

Q-10

HOTSPOT

You are asked to configure the method of payment for vendors. You are viewing an Accounts payable method of payment. Use the drop-down menus to select the answer choice that answers each question based on the information presented in the graphic.
NOTE: Each correct selection is worth one point.

Q-11

You are configuring vendor collaboration security roles for external vendors. You manually set up a vendor contact. You need to assign the Vendor (external) role to this vendor. Which tasks can this vendor perform?

A. Request a new user account for a contact person by using the Provision user action.
B. Maintain vendor collaboration invoices.
C. Delete any contact person that they have created.
D. View and modify contact person information, such as the person\’s title, email address, and telephone number.

Correct Answer: B

Reference: https://docs.microsoft.com/en-us/dynamics365/unified-operations/supply-chain/procurement/set-up-maintainvendor-collaboration

Q-12

SIMULATION
You are a functional consultant for Contoso Entertainment System USA (USMF). You need to implement a quarterly accruals scheme for USMF. The accrual scheme settings must match the settings of
the monthly and annual accrual schemes. To complete this task, sign in to the Dynamics 365 portal.
Correct Answer:

Look at the monthly and annual accrual scheme settings. Create a quarterly accrual scheme with the same settings by using the following instructions:
1. Go to Navigation pane > Modules > General ledger > Journal setup > Accrual schemes.
2. Select New.
3. In the Accrual identification field, type a value.
4. In the Description of accrual scheme field, type a value.
5. In the Debit field, specify the desired values. The main account defined will replace the debit main account on the journal voucher line and it will also be used for the reversal of the deferral based on the ledger accrual transactions.
6. In the Credit field, specify the desired values. The main account defined will replace the credit main account on the journal voucher line and it will also be used for the reversal of the deferral based on the ledger accrual transactions.
7. In the Voucher field, select how you want the voucher determined when the transactions are posted.
8. In the Description field, type a value to describe the transactions that will be posted.
9. In the Period frequency field, select how often the transactions should occur.
10. In the Number of occurrences by period field, enter a number.
11. In the Post transactions field, select when the transactions should be posted, such as Monthly.

Reference: https://docs.microsoft.com/en-us/dynamics365/finance/general-ledger/tasks/create-accrual-schemes

Q-13

After you answer a question in this section, you will NOT be able to return to it. As a result, these questions will not appear on the review screen. A customer uses Dynamics 365 Finance. The customer creates a purchase order for the purchase of $20,000 in office furniture.

You need to configure the system to ensure that the funds are reserved when the purchase order is confirmed. Solution: Configure item posting groups for purchase requisitions. Does the solution meet the goal?

A. Yes
B. No

Correct Answer: B

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QUESTION 1

DRAG DROP
Match the tools to the appropriate descriptions. To answer, drag the appropriate tool from the column on the left to its description on the right. Each tool may be used once, more than once, or not at all.
Select and Place:

Correct Answer:

Box 1: Microsoft SQL Server Management Studio (SSMS)
SQL Server Management Studio (SSMS) is an integrated environment for managing any SQL infrastructure, from SQL Server to Azure SQL Database.

Box 2: Microsoft Visual Studio Code
Visual Studio Code is a streamlined code editor with support for development operations like debugging, task running, and version control. It aims to provide just the tools a developer needs for a quick code-build-debug cycle and leaves more complex workflows to fuller featured IDEs, such as Visual Studio IDE.

Box 3: Azure Data Studio
Azure Data Studio offers a modern, keyboard-focused SQL coding experience that makes your everyday tasks easier with built-in features, such as multiple tab windows, a rich SQL editor, IntelliSense, keyword completion, code snippets, code navigation, and source control integration (Git). Run on-demand SQL queries, view and save results as text, JSON, or Excel. Edit data, organize your favorite database connections, and browse database objects in a familiar object browsing experience.

Box 4: Microsoft SQL Server Data Tools (SSDT)
SQL Server Data Tools (SSDT) is a modern development tool for building SQL Server relational databases, databases in Azure SQL, Analysis Services (AS) data models, Integration Services (IS) packages, and Reporting Services (RS) reports. With SSDT, you can design and deploy any SQL Server content type with the same ease as you would develop an application in Visual Studio.

Reference:
https://docs.microsoft.com/en-us/sql/ssms/download-sql-server-management-studio-ssms
https://code.visualstudio.com/docs/supporting/FAQ
https://docs.microsoft.com/en-us/sql/azure-data-studio/what-is-azure-data-studio
https://docs.microsoft.com/en-us/sql/ssdt/download-sql-server-data-tools-ssdt

QUESTION 2

You need to design and model a database by using a graphical tool that supports project-oriented offline database development. What should you use?

A. Microsoft SQL Server Data Tools (SSDT)
B. Microsoft SQL Server Management Studio (SSMS)
C. Azure Databricks
D. Azure Data Studio

Correct Answer: A

Reference: https://docs.microsoft.com/en-us/sql/ssdt/project-oriented-offline-database-development?view=sqlserverver15

QUESTION 3

You have a SQL pool in Azure Synapse Analytics that is only used actively every night for eight hours. You need to minimize the cost of the SQL pool during idle times. The solution must ensure that the data remains intact. What should you do on the SQL pool?

A. Scale down the data warehouse units (DWUs).
B. Pause the pool.
C. Create a user-defined restore point.
D. Delete the pool

Correct Answer: B

Reference: https://docs.microsoft.com/en-us/azure/synapse-analytics/sql-data-warehouse/sql-data-warehouse-managecompute-overview

QUESTION 4

Match the types of data to the appropriate Azure data services.
To answer, drag the appropriate data types from the column on the left to its service on the right. Each data type may be used once, more than once, or not at all.

NOTE: Each correct match is worth one point.
Select and Place:

Correct Answer:

QUESTION 5

HOTSPOT
For each of the following statements, select Yes if the statement is true. Otherwise, select No.
NOTE: Each correct selection is worth one point.
Hot Area:

Correct Answer:

Box 1: Yes
Like IaaS, PaaS includes infrastructure -servers, storage, and networking -but also middleware, development tools, business intelligence (BI) services, database management systems, and more. PaaS is designed to support the complete web application lifecycle: building, testing, deploying, managing, and updating.

PaaS allows you to avoid the expense and complexity of buying and managing software licenses, the underlying application infrastructure and middleware, container orchestrators such as Kubernetes, or the development tools and other resources

Box 2: Yes
You manage the applications and services you develop, and the cloud service provider typically manages everything else.

Box 3: No
There really is no way to pause / stop billing for your Azure SQL Database.
Microsoft\’s official answer “Yes, you can export your database. Delete the Azure SQL database and that will pause billing. Then when you need it you can create a new database and import your previously exported DB.”

Reference:
https://azure.microsoft.com/en-us/overview/what-is-paas
https://feedback.azure.com/forums/217321-sql-database/suggestions/6931152-please-add-ability-to-temporarily-turn-offon-sql

QUESTION 6

Which setting can only be configured during the creation of an Azure Cosmos DB account?

A. geo-redundancy
B. multi-region writes
C. production or non-reduction account type
D. API

Correct Answer: C

QUESTION 7

You have the following JSON document.

Use the drop-down menus to select the answer choice that completes each statement based on the information presented in the JSON document. NOTE: Each correct selection is worth one point.
Hot Area:

Correct Answer:

Reference: https://www.w3schools.com/js/js_json_arrays.asp https://www.w3schools.com/js/js_json_objects.asp

QUESTION 8

HOTSPOT
To complete the sentence, select the appropriate option in the answer area.
Hot Area:

QUESTION 9

Your company recently reported sales from the third quarter. You have the chart shown in the following exhibit.

Which type of analysis is shown for the fourth quarter?

A. predictive
B. prescription
C. descriptive
D. diagnostic

Correct Answer: B

QUESTION 10

You are writing a set of SQL queries that administrators will use to troubleshoot an Azure SQL database. You need to embed documents and query results into a SQL notebook. What should you use?

A. Microsoft SQL Server Management Studio (SSMS)
B. Azure Data Studio
C. Azure CLI
D. Azure PowerShell

Correct Answer: B

Reference: https://www.mssqltips.com/sqlservertip/5997/create-sql-server-notebooks-in-azure-data-studio/

QUESTION 11

You have an Azure SQL database that you access directly from the internet. You recently changed your external IP address. After changing the IP address, you can no longer access the database. You can connect to other resources in Azure What is a possible cause of the issue?

A. a database-level firewall
B. role-based access control (RSAC)
C. Dynamic Host Configuration Protocol (DHCP)
D. Domain Name Service (DNS)

Correct Answer: A

The Azure SQL Database firewall lets you decide which IP addresses may or may not have access to either your Azure SQL Server or your Azure SQL database. When creating an Azure SQL Database, the firewall needs to be configured before anyone will be able to access the database. By default, no external access to your SQL Database will be allowed until you explicitly assign permission by creating a firewall rule.

Reference: https://www.sqlshack.com/configuring-the-azure-sql-database-firewall/

QUESTION 12

DRAG DROP
Match the terms to the appropriate descriptions. To answer, drag the appropriate term from the column on the left to its description on the right. Each term may be used once, more than once, or not at all.
NOTE: Each correct match is worth one point.ach term may be used once, more than once, or not at all.
NOTE: Each correct match is worth one point.

Select and Place:

Correct Answer:

Reference:
https://en.wikipedia.org/wiki/Table_(database)#:~:text=A%20table%20is%20a%20collection,table%20format%20within%20a%20database.andtext=In%20relational%20databases%2C%20and%20flat,a%20row%20and%20column%20intersect.
https://en.wikipedia.org/wiki/View_(SQL)
https://en.wikipedia.org/wiki/Database_index#:~:text=A%20database%20index%20is%20a,maintain%20the%20index%20data%20structure.

QUESTION 13

To complete the sentence, select the appropriate option in the answer area.
Hot Area:

Correct Answer:

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Exam Code: 1V0-81.20
Certification: VCTA-SEC 2021
language: English
Exam time: 120 minutes
Number of questions: 55
Passing Score: VMware exams are scored on a scale of 100-500, with a determined raw score range of 300
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QUESTION # 1

Which would require a Layer 7 Firewall?

A. block a specific port
B. block a subnet range
C. block a host
D. block a specific application

Correct Answer: D

QUESTION # 2

What is the default user\\’s network range when creating a new access policy rule in Workspace ONE Access?

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B. ALL RANGES
C. 192.168.0.0/16
D. LOCAL SUBNET

Correct Answer: B

QUESTION # 3

In Workspace ONE Intelligence, which of the following is a role that can be assigned to an administrator account?

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B. Helpdesk
C. Read-only
D. Automater

Correct Answer: A

QUESTION # 4

DRAG DROP
Drag and drop the Cyber Kill events on the left into their proper sequential order on the right.

Correct Answer:

QUESTION # 5

Which is a common solution to implement for inbound network attacks?

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B. Firewall
C. Proxy
D. Reverse Proxy

Correct Answer: B

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What types of hosts are supported for hosting both NSX-T Data Center managers and host transport nodes?

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C. vSphere ESXi 6.5, KVM on RHEL 7.6, Ubuntu 18.04.2 LTS
D. vSphere ESXi 6.7U1 or higher, CentOS KVM 7.6, RHEL KVM

Correct Answer: A

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A. integrated
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C. unified
D. content-centric
E. centrally managed
F. built-in

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In VMware Carbon Black Cloud, what is the search field you would use when searching for a command line?

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B. full_cmdline:
C. process_cmdline:
D. process_commandline

Correct Answer: D

Reference: https://docs.vmware.com/en/VMware-Carbon-Black-Cloud/services/carbon-black-cloud-userguide.pdf (29)

QUESTION # 9

Micro-segmentation is under which pillar of trust in VMware\’s 5 pillars of Zero Trust?

A. User
B. Session/Transport
C. Application
D. Device

Correct Answer: B

Reference: https://events.afcea.org/Augusta20/CUSTOM/pdf/Dell%20Technologies%20-%20ZeroTrust.pdf

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A technician has been asked to confirm a specific browser extension does not exist on any endpoint in their environment. Which is the VMware Carbon Black tool to use for this task?

A. Enterprise EDR
B. EDR
C. Audit and Remediation
D. Endpoint Standard

Correct Answer: A

QUESTION # 11

Refer to the exhibit.

Which statement is true about the firewall rule?

A. It is a gateway firewall applied to a Tier-0 gateway that drops traffic on port 22
B. It is a distributed firewall applied to App-Services, DB-Servers and Web-Servers that rejects traffic on port 22
C. It is a distributed firewall applied to App-Services, DB-Servers and Web-Servers that drops traffic on port 22
D. It is a gateway firewall applied to a Tier-0 gateway that rejects traffic on port 22

Correct Answer: A

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What is one of the limitations of traditional Antivirus when compared to Next Generation Antivirus?

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B. Traditional AV focuses on signature or definition-based threats
C. Traditional AV requires integration with a SIEM to use the next-generation features
D. Traditional AV does not provide a dashboard

Correct Answer: B

QUESTION # 13

In VMware Carbon Black Cloud, which reputations have the highest priority during analysis?

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B. Trusted Allow List
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D. Ignore

Correct Answer: B

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Cisco exam 500-701 is designed to test your mastery of Cisco Video Infrastructure Design. Did you fail your first Cisco 500-701 exam? If that’s the case, geekcert’s Cisco 500-701 exam dumps are a huge help for everyone who passes the 500-701 exam for the first time.

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Portable Cisco 500-701 Exam Questions PDF Download

google drive: https://drive.google.com/file/d/1go0D5gcQ0IGnpDVf5uLuiqsZttWrQnVT/view?usp=sharing

The Cisco exam questions 500-701 PDF file contains a total of 12 questions and answers and is part of the latest version of the dumps.

Free Cisco Advanced Video Specialization 500-701 Exam Actual Questions

QUESTION 1 #

Which is a feature available in Expressway version 8.9?

A. Global phone books
B. The ability to register desktop phones
C. The ability to register video endpoints
D. SRST redundancy

Correct Answer: C

QUESTION 2 #

Which room system can also function as a whiteboard?

A. Spark Board
B. SX10
C. SX20
D. MX800

Correct Answer: A

QUESTION 3 #

How many simultaneous HD calls can be supported on a Cisco Meeting Server 1000?

A. 24
B. 96
C. 108
D. 48

Correct Answer: B

QUESTION 4 #

What is the maximum number of Expressways that can be clustered?

A. 9
B. 2
C. 5
D. 6

Correct Answer: D

QUESTION 5 #

How many video endpoints can call into a CMR Cloud meeting?

A. 8
B. 10
C. 50
D. 26

Correct Answer: A

QUESTION 6 #

Which statement is true regarding endpoint registration authentication?

A. When a Subzone is set for “Treat as Authenticated”, the endpoint is required to have the correct authentications configured.
B. Expressways and Endpoints do not need to be synchronized with identical NTP timestamps.
C. Authentication credentials can be stored in the local database of the Expressway.
D. SIP endpoints always need authentication credentials.

Correct Answer: C

QUESTION 7#

Which Cisco Meeting Server component is used for traversal?

A. TURN Server
B. Recorder
C. SIP Edge
D. Database

Correct Answer: A

QUESTION 8 #

Which is a Cisco Spark Service Add-ons?

A. Calling
B. Messaging
C. Room Registration
D. Meeting

Correct Answer: D

QUESTION 9 #

Which call processing stage standardizes destination aliases originating from both SIP and H.323 devices?

A. Conference Template
B. Find Rules
C. Transforms
D. Hunt Group

Correct Answer: C

QUESTION 10 #

When writing new App in Tropo, in what format should the App Scripts be saved?

A. .js
B. .json
C. .mp4
D. .xml

Correct Answer: B

QUESTION 11#

What is the primary purpose of the Traversal Subzone?

A. To enable firewall traversal between public and private endpoints.
B. To provide Mobile Remote Access for endpoints outside the network.
C. To apply bandwidth restrictions on traversal calls.
D. To encrypt traversal calls to neighbored Expressways.

Correct Answer: C

https://www.cisco.com/c/dam/en/us/td/docs/telepresence/infrastructure/vcs/admin_guide/Cisco_VCS_Administrator_Guide_X7-2.pdf

QUESTION 12 #

Which is used in both CMR Premises and CMR Hybrid solutions?

A. Cisco CTS
B. Cisco Conductor
C. Cisco Meeting Server
D. Cisco WebEx Meeting Center

Correct Answer: D

https://www.cisco.com/assets/global/CZ/events/2015/ciscoconnect/pdf/TECH-COLL-1_conferencing-ivsykorajmartan.pdf

QUESTION 13 #

Which is a configuration mode through Cisco Spark that allows Zero Touch Meetings (ZTM) and allows a user to utilize their enterprise phone as the audio or video terminal for Spark calls?

A. Call Service Connect
B. Calendar Service
C. Directory Service
D. Call Connector

Correct Answer: D

QUESTION 14 #

Which is an endpoint supported by Cisco Unified Communications Manager?

A. CMA Clients
B. Jabber Video
C. Immersive Telepresence endpoints
D. Legacy H.323 endpoints

Correct Answer: C

QUESTION 15 #

How is TIP defined?

A. TIP multiplexes RTP ports to reduce the number of video streams required in calls between any H.323 and SIP endpoint. Whether they are immersive endpoints or non-immersive endpoints.
B. TIP allows communication between any immersive and non-immersive endpoint.
C. TIP allows communication between any endpoint, regardless of what protocol is used
D. TIP multiplexes RTP ports to reduce the number of video streams required in cars between immersive endpoints.

Correct Answer: A

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