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    Nil Balance" or "Balance to Transfer" scenarios. Before adding the case to the relevant work queue, a check is made to see if an identical key has been added to the work queue today. If so the case is not added.
    The Transfer Balance process works its queue and, for each successfully processed case, adds case to the Close Account queue.
    The Close Account process works its queue and. for each successfully processed case, adds a case to the Confirm Closure queue with the case deferred to 08:00 the next day.
    The Confirm Closure process completes the sequence by confirming that the account is finally closed.
    A scheduler has been created to start all four processes at 08:00. Each process shall be configured to finish accordingly:

    Please select from the statements below the ones you consider to be correct (select 2 responses
    A. There should be a separate work queue for each channel feeding the process.
    B. The Confirm Closure process should work until 22:00
    C. All processes should be merged into one process to optimize licenses
    D. Exception cases should not be distributed whilst the processes are running and instead should be distributed when each process has completed
    E. As an alternative the solution could use just one queue instead of four
    Answer: A,B

    NEW QUESTION: 3
    Max has an application that her company's Chicago office uses on their Chicago server. She would like her company's Boston office to access the same application on their Boston server but needs for changes to each application to be kept in sync. How should Max create the application on the Boston server?
    A. Max should create a new application based off the Single Copy Template on the Boston server.
    B. Max should create a new application based off the template on the Boston server.
    C. Max should create a new copy of the application on the Boston server.
    D. Max should create a new replica of the application on the Boston server.
    Answer: D


     



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