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Vendor: Salesforce

Exam Code: MuleSoft-Integration-Architect-I Dumps

Questions and Answers: 104

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NEW QUESTION: 1
A company is facing penalties for failing to effectively comply with e-discovery requests. Which of the following could reduce the overall risk to the company from this issue?
A. Allow encryption only by tools that use public keys from the existing escrowed corporate PKI.
B. Require each user to log passwords used for file encryption to a decentralized repository.
C. Establish a policy that only allows filesystem encryption and disallows the use of individual file encryption.
D. Permit users to only encrypt individual files using their domain password and archive all old user passwords.
Answer: A
Explanation:
Electronic discovery (also called e-discovery) refers to any process in which electronic data is sought, located, secured, and searched with the intent of using it as evidence in a civil or criminal legal case. E-discovery can be carried out offline on a particular computer or it can be done in a network.
An e-discovery policy would define how data is archived and encrypted. If the data is archived in an insecure manor, a user could be able to delete data that the user does not want to be searched. Therefore, we need to find a way of securing the data in a way that only authorized people can access the data.
A public key infrastructure (PKI) supports the distribution and identification of public encryption keys for the encryption of data. The data can only be decrypted by the private key.
In this question, we have an escrowed corporate PKI. Escrow is an independent and licensed third party that holds something (money, sensitive data etc.) and releases it only when predefined conditions have been met. In this case, Escrow is holding the private key of the PKI.
By encrypting the e-discovery data by using the PKI public key, we can ensure that the data can only be decrypted by the private key held in Escrow and this will only happen when the predefined conditions are met.

NEW QUESTION: 2
DRAG DROP
Note: This question is part of a series of questions that use the same scenario. For your convenience, the scenario is repeated in each question. Each question presents a different goal and answer choices, but the text of the scenario is exactly the same in each question in this series.
Start of repeated scenario
You have a database that contains the tables shown in the exhibit. (Click the Exhibit button.)

You review the Employee table and make the following observations:
Every record has a value in the ManagerID except for the Chief Executive Officer (CEO).

The FirstName and MiddleName columns contain null values for some records.

The valid values for the Title column are Sales Representative manager, and CEO.

You review the SalesSummary table and make the following observations:
The ProductCode column contains two parts: The first five digits represent a product code, and the last

seven digits represent the unit price. The unit price uses the following pattern: ####.##.
You observe that for many records, the unit price portion of the ProductCode column contains values.

The RegionCode column contains NULL for some records.

Sales data is only recorded for sales representatives.

You are developing a series of reports and procedures to support the business. Details for each report or procedure follow.
Sales Summary report: This report aggregates data by year and quarter. The report must resemble the following table.

Sales Manager report: This report lists each sales manager and the total sales amount for all employees that report to the sales manager.
Sales by Region report: This report lists the total sales amount by employee and by region. The report must include the following columns: EmployeeCode, MiddleName, LastName, RegionCode, and SalesAmount. If MiddleName is NULL, FirstName must be displayed. If both FirstName and MiddleName have null values, the world Unknown must be displayed/ If RegionCode is NULL, the word Unknown must be displayed.
Report1: This report joins data from SalesSummary with the Employee table and other tables. You plan to create an object to support Report1. The object has the following requirements:
be joinable with the SELECT statement that supplies data for the report

can be used multiple times with the SELECT statement for the report

be usable only with the SELECT statement for the report

not be saved as a permanent object

Report2: This report joins data from SalesSummary with the Employee table and other tables.
You plan to create an object to support Report1. The object has the following requirements:
be joinable with the SELECT statement that supplies data for the report can be used multiple times for this report and other reports

accept parameters

be saved as a permanent object

Sales Hierarchy report: This report aggregates rows, creates subtotal rows, and super-aggregates rows over the SalesAmount column in a single result-set. The report uses SaleYear, SaleQuarter, and SaleMonth as a hierarchy. The result set must not contain a grand total or cross-tabulation aggregate rows.
Current Price Stored Procedure: This stored procedure must return the unit price for a product when a product code is supplied. The unit price must include a dollar sign at the beginning. In addition, the unit price must contain a comma every three digits to the left of the decimal point, and must display two digits to the left of the decimal point. The stored procedure must not throw errors, even if the product code contains invalid data.
End of Repeated Scenario
You need to create a query to return the data for the Sales Summary report.
Which three Transact-SQL segments should you use to develop the solution? To answer, move the appropriate Transact-SQL segments from the list of Transact-SQL segments to the answer area and arrange them in the correct order.
Select and Place:

Answer:
Explanation:

Explanation/Reference:
Explanation:
Use two CTE expressions, one for salesYear and one for SalesQuarter, and combine them with a SELECT statement.
Note: A common table expression (CTE) can be thought of as a temporary result set that is defined within the execution scope of a single SELECT, INSERT, UPDATE, DELETE, or CREATE VIEW statement. A CTE is similar to a derived table in that it is not stored as an object and lasts only for the duration of the query.
References:https://technet.microsoft.com/en-us/library/ms190766(v=sql.105).aspx

NEW QUESTION: 3
A Data Integrator file is imported. Some of the records in the file can be created/updated successfully and some of the records contain errors. What will the platform do?
A. Generate a Data Upload Error log file on the application server
B. Generate both a Data Upload Error record and a Data Upload record that list the errors
C. Generate only a Data Upload Error record that lists the errors
D. Generate only a Data Upload record that lists the errors
Answer: B

NEW QUESTION: 4
Which SuccessFactors HCM solutions can be integrated with SuccessFactors when Onboarding?
There are 3 correct answers to this question
A. Recruiting Management
B. Goal Management
C. Succession
D. Employee Central
E. Compensation
Answer: A,B,D


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