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H19-260_V2.0 Exam Simulator
  • Exam Code: H19-260_V2.0
  • Exam Name: HCSA-Sales-Smart PV V2.0
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NEW QUESTION: 1
Your network contains an Active Directory forest named contoso.com. The forest contains one domain.
You have an Exchange Server organization that contains three servers. The servers are configured as shown in the following table.

An administrator implements Outlook Anywhere on Exchange Server 2013.
Remote users who have a mailbox hosted on EX1 report that they receive the following error message when they attempt to configure a Microsoft Outlook profile.

Remote users who have a mailbox hosted on EX3 can configure an Outlook profile successfully.
You need to ensure that the remote users who have a mailbox on EX1 can access their mailbox by using Outlook Anywhere.
What should you do?
A. On EX2, run Set-CasMailbox.
B. On EX1, run Enable-OutlookAnywhere
C. On EX2, run Set-OutlookAnywhere
D. On EX1, run Set-OutlookAnywhere
Answer: B
Explanation:
Explanation/Reference:
Explanation:
Enable-OutlookAnywhere: Exchange 2010 Help

NEW QUESTION: 2
You need to ensure that phone-based poling data can be analyzed in the PollingData database.
How should you configure Azure Data Factory?
A. Use an event-based trigger
B. Use manual execution
C. Use a schedule trigger
D. Use a tumbling schedule trigger
Answer: C
Explanation:
Explanation/Reference:
Explanation:
When creating a schedule trigger, you specify a schedule (start date, recurrence, end date etc.) for the trigger, and associate with a Data Factory pipeline.
Scenario:
All data migration processes must use Azure Data Factory
All data migrations must run automatically during non-business hours
References:
https://docs.microsoft.com/en-us/azure/data-factory/how-to-create-schedule-trigger Testlet 3 Overview Current environment Contoso relies on an extensive partner network for marketing, sales, and distribution. Contoso uses external companies that manufacture everything from the actual pharmaceutical to the packaging.
The majority of the company's data reside in Microsoft SQL Server database. Application databases fall into one of the following tiers:

The company has a reporting infrastructure that ingests data from local databases and partner services.
Partners services consists of distributors, wholesales, and retailers across the world. The company performs daily, weekly, and monthly reporting.
Requirements
Tier 3 and Tier 6 through Tier 8 application must use database density on the same server and Elastic pools in a cost-effective manner.
Applications must still have access to data from both internal and external applications keeping the data encrypted and secure at rest and in transit.
A disaster recovery strategy must be implemented for Tier 3 and Tier 6 through 8 allowing for failover in the case of server going offline.
Selected internal applications must have the data hosted in single Microsoft Azure SQL Databases.
Tier 1 internal applications on the premium P2 tier

Tier 2 internal applications on the standard S4 tier

The solution must support migrating databases that support external and internal application to Azure SQL Database. The migrated databases will be supported by Azure Data Factory pipelines for the continued movement, migration and updating of data both in the cloud and from local core business systems and repositories.
Tier 7 and Tier 8 partner access must be restricted to the database only.
In addition to default Azure backup behavior, Tier 4 and 5 databases must be on a backup strategy that performs a transaction log backup eve hour, a differential backup of databases every day and a full back up every week.
Back up strategies must be put in place for all other standalone Azure SQL Databases using Azure SQL- provided backup storage and capabilities.
Databases
Contoso requires their data estate to be designed and implemented in the Azure Cloud. Moving to the cloud must not inhibit access to or availability of data.
Databases:
Tier 1 Database must implement data masking using the following masking logic:

Tier 2 databases must sync between branches and cloud databases and in the event of conflicts must be set up for conflicts to be won by on-premises databases.
Tier 3 and Tier 6 through Tier 8 applications must use database density on the same server and Elastic pools in a cost-effective manner.
Applications must still have access to data from both internal and external applications keeping the data encrypted and secure at rest and in transit.
A disaster recovery strategy must be implemented for Tier 3 and Tier 6 through 8 allowing for failover in the case of a server going offline.
Selected internal applications must have the data hosted in single Microsoft Azure SQL Databases.
Tier 1 internal applications on the premium P2 tier

Tier 2 internal applications on the standard S4 tier

Reporting
Security and monitoring
Security
A method of managing multiple databases in the cloud at the same time is must be implemented to streamlining data management and limiting management access to only those requiring access.
Monitoring
Monitoring must be set up on every database. Contoso and partners must receive performance reports as part of contractual agreements.
Tiers 6 through 8 must have unexpected resource storage usage immediately reported to data engineers.
The Azure SQL Data Warehouse cache must be monitored when the database is being used. A dashboard monitoring key performance indicators (KPIs) indicated by traffic lights must be created and displayed based on the following metrics:

Existing Data Protection and Security compliances require that all certificates and keys are internally managed in an on-premises storage.
You identify the following reporting requirements:
Azure Data Warehouse must be used to gather and query data from multiple internal and external

databases
Azure Data Warehouse must be optimized to use data from a cache

Reporting data aggregated for external partners must be stored in Azure Storage and be made

available during regular business hours in the connecting regions
Reporting strategies must be improved to real time or near real time reporting cadence to improve

competitiveness and the general supply chain
Tier 9 reporting must be moved to Event Hubs, queried, and persisted in the same Azure region as the

company's main office
Tier 10 reporting data must be stored in Azure Blobs

Issues
Team members identify the following issues:
Both internal and external client application run complex joins, equality searches and group-by clauses.

Because some systems are managed externally, the queries will not be changed or optimized by Contoso External partner organization data formats, types and schemas are controlled by the partner companies

Internal and external database development staff resources are primarily SQL developers familiar with

the Transact-SQL language.
Size and amount of data has led to applications and reporting solutions not performing are required

speeds
Tier 7 and 8 data access is constrained to single endpoints managed by partners for access

The company maintains several legacy client applications. Data for these applications remains isolated

form other applications. This has led to hundreds of databases being provisioned on a per application basis

NEW QUESTION: 3
Symantec Backup Exec System Recovery Manager 8.5 console is supported on which
three operating system platforms? (Select three.)
A. Windows Server 2008 Core
B. Windows NT 4.0 Professional
C. Windows Vista Ultimate
D. Windows XP Professional (SP2 or later)
E. Windows Server 2008 Standard
Answer: C,D,E

NEW QUESTION: 4
When you post a payment, the system updates records in the Accounts Payable and General Ledger tables.
Which three statements are correct? (Choose three.)
A. When posting a payment, the system writes an Automatic Entry record and updates the Posted Code to P for the existing payment record in the Account Ledger table (F0911).
B. When posting a payment, the system writes a posted Payment record and an Automatic Entry record to the Account Ledger table (F0911).
C. When posting a payment, the system updates the Posted Code to P in the Payment Header table (F0413) and the Payment Detail table (F0414).
D. When posting a payment, the system updates the Account Balance table (F0902) based on the F0413 and F0414records.
E. When posting a payment, the system updates the Posted Code to D in the Payment Header table (F0413) and the Payment Detail table (F0414).
F. When posting a payment, the system updates the Account Balance table (F0902) based on the F0911 records.
Answer: A,D,E

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