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NEW QUESTION: 1
You are debugging in X++ and review the following method:

Which three best practices does this method violate? Each correct answer presents part of the solution.
A. The method manipulated the parameter _param.
B. The returnkeyword is used in both the Ifand the Elsestatements.
C. The parameter _paramshould be assigned using the format _param = _param + var1.
D. The method does not assign a value to the variable var2.
E. The Ifand Elsestatements should not use braces because each statement is only one line.
Answer: A,B,D
Explanation:
Section: (none)

NEW QUESTION: 2
企業には、Elastic Load Balancing(ELB)ロードバランサーの背後でWebコンテンツを提供するAmazon EC2インスタンスがあります。数時間前のELB Amazon CloudWatchメトリックは、かなりの数の4XXエラーを示しています。これらのエラー発生時のEC2インスタンスは削除されました。
4XXエラーの発生時に、管理者はこれらの要求の発信者に関する情報をどのように取得できますか?
A. Amazon S3は、EC2インスタンスからのアプリケーションログのバックアップを常に保持します。分析のためにこれらのログを取得します
B. AWS Trusted Advisorを使用してELBアクセスログを取得します
C. ELBアクセスログが有効になっている場合、情報はS3バケットから取得できます
D. AWSサポートに連絡して、削除されたインスタンスからアプリケーションログを取得します
Answer: C

NEW QUESTION: 3

A. Option A
B. Option D
C. Option B
D. Option C
Answer: B
Explanation:
You can use bank transaction types to identify specific bank transactions. For example, you could create transaction
types such as Fees, Charges, and Interest.
Field: main account
Select the main account for the transaction type, which is suggested automatically as the offset account on
transaction lines with this bank transaction type. For example, when you post a correction transaction in bank account
reconciliation, such as penny differences, bank fees, or interest charges, the offset main account appears
automatically if you enter an account in this field for each bank transaction type.
Reference: Bank transaction type (form) [AX 2012]
Incorrect:
Not B: Use this form to create and manage bank accounts.
Not C: You can set up reconciliation matching rules and reconciliation matching rule sets to help the bank
reconciliation process. Reconciliation matching rules are a set of criteria that are used to filter bank statement lines
and bank document lines during the reconciliation process.