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NEW QUESTION: 1
You have an Azure Active Directory (Azure AD) tenant named contoso.com. The tenant contains the users shown in the following table.
You configure an access review named Review1 as shown in the following exhibit.
Use the drop-down menus to select the answer choice that completes each statement based on the information presented in the graphic.
NOTE: Each correct selection is worth one point.
Answer:
Explanation:
Explanation
Box 1: User3 only
Use the Members (self) option to have the users review their own role assignments.
Box 2: User3 will receive a confirmation request
Use the Should reviewer not respond list to specify what happens for users that are not reviewed by the reviewer within the review period. This setting does not impact users who have been reviewed by the reviewers manually. If the final reviewer's decision is Deny, then the user's access will be removed.
No change - Leave user's access unchanged
Remove access - Remove user's access
Approve access - Approve user's access
Take recommendations - Take the system's recommendation on denying or approving the user's continued access References:
https://docs.microsoft.com/bs-latn-ba/azure/active-directory/privileged-identity-management/pim-how-to-start-se
NEW QUESTION: 2
Which of the following is the correct sequence of how KMS manages the keys when used along with the Redshift cluster service Please select:
A. The master keys encrypts the cluster key. The cluster key encrypts the database key. The database key encrypts the data encryption keys.
B. The master keys encrypts the cluster key, database key and data encryption keys
C. The master keys encrypts the data encryption keys. The data encryption keys encrypts the database key
D. The master keys encrypts the database key. The database key encrypts the data encryption keys.
Answer: A
Explanation:
Explanation
This is mentioned in the AWS Documentation
Amazon Redshift uses a four-tier, key-based architecture for encryption. The architecture consists of data encryption keys, a database key, a cluster key, and a master key.
Data encryption keys encrypt data blocks in the cluster. Each data block is assigned a randomly-generated AES-256 key. These keys are encrypted by using the database key for the cluster.
The database key encrypts data encryption keys in the cluster. The database key is a randomly-generated AES-256 key. It is stored on disk in a separate network from the Amazon Redshift cluster and passed to the cluster across a secure channel.
The cluster key encrypts the database key for the Amazon Redshift cluster.
Option B is incorrect because the master key encrypts the cluster key and not the database key Option C is incorrect because the master key encrypts the cluster key and not the data encryption keys Option D is incorrect because the master key encrypts the cluster key only For more information on how keys are used in Redshift, please visit the following URL:
https://docs.aws.amazon.com/kms/latest/developereuide/services-redshift.html The correct answer is: The master keys encrypts the cluster key. The cluster key encrypts the database key.
The database key encrypts the data encryption keys.
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NEW QUESTION: 3
What is the effect of summary accounts on the efficiency of the posting process?
A. Use of summary accounts increases the efficiency of the posting process.
B. Use summary accounts in the posting process to accumulate values.
C. Use of summary accounts decreases the efficiency of the posting process.
D. Use summary accounts in the posting process to not accumulate values.
Answer: C
NEW QUESTION: 4
You set up security roles for the users in a company.
You must use standard security roles when possible.
You need to identify the standard security roles.
Which of the following can you assign to a user as a standard security role?
A. Waterspider
B. Business development manager
C. System engineer
D. Leasing manager
Answer: A
Explanation:
Topic 2, Relecloud Case
Background
Relecloud is a cloud point of sale (POS) software company specializing in direct to consumer food stands.
They have multiple business units using their new Dynamics 365 Finance and Operations implementation including customer-facing representatives for account management, technical support, customer service, and finance. There are two legal entities, one for operations and one for financials. Customers pay for the Relecloud POS software monthly and everything is deployed in the cloud. The Dynamics instance URL is
https//relecloud prod operations.dynamics.com.
Munson's Pickles and Preserves Farm is a company that uses Relecoud's cloud POS software to sell their produce in farmers markets. Munson's was one of Relecloud's first customers, and Relecloud stocks their employee lunchroom with Munson's products. Munson's has also been subcontracting their employees to Relecloud to help functionally build a best-in-breed solution. Munson's employees assume multiple organizational positions. Each employee has only a single email address by which people can contact them.
Current environment: System and IT
* Dynamics 365 for Finance and Operations was recently updated.
* All recurring batch jobs in the system were removed and recreated.
* The alert notification batch processing was recently changed from every 10 minutes to once every two hours.
* Real-time reporting of the information is not needed.
Current environment: Customer Service
* Customer credit requests are entered through the customer service team.
* All requests must contain a date, time, reason for request, and customer service notes on initial recommendations for credit action.
* Customers have multiple points of contact who can enter support tickets to the Relecoud portal.
* Tickets are automatically generated in the support team's third-party system when they are created by support technicians.
* The Dynamics 365 email client mail is used to correspond with customers.
Current environment: Technical Support/IT
* The technical support team gets involved when technical issues arise with the Relecloud software.
Service tickets are entered and get escalated to the team, depending on the issue.
* Microsoft Flow is used for automating different workstreams.
* Workflows are not configured for the technical support request flows in Dynamics 365 Finance and Operations.
* Management and history of technical support tickets are handled in a third-party issue management solution.
* The technical service team manages issues related to the Relecloud POS as well as the Dynamics 365 application.
Current environment: Account Representatives
* Each customer is assigned a single account representative.
* Account representatives use multiple devices.
* Only account representatives have the ability to approve credits.
* All email to customers come through their own Outlook instance.
Current environment: Finance
* Customers do not have invoice accounts.
* Only finance resources have the ability to enter credits.
* Credits can be entered by any of the four finance resources assigned the Credits and Refunds security role.
* If the request has not been updated in four days, the request is escalated to the Controller. The account representative must be alerted when this occurs.
Requirements: Technical support/IT
* Support technicians must use Microsoft's existing knowledge base to resolve open issues.
* If an issue exists, support technicians must report the status of the issue on a weekly basis.
* If there is no existing support request, support technicians must create one for Microsoft evaluation.
* All software must be installed centrally when possible.
* The Dynamics 365 Finance and Operations production environment must have an update cadence of every second Saturday from 4-7 A.M. EST.
* Updates must be tested in separate environment.
Requirements: Account representatives
* Account representatives must be able to see only the relevant customer fields and records automatically from their dashboard.
* Account representatives must be able to export the list of customers to Microsoft Excel.
* Account representatives must be able to navigate to the customer master record for any editing or record entry tasks.
* The forms must be relevant based on each account representative's needs.
* Account representatives need a centralized location to see multiple data components.
* Account representatives require an offline list of their current customers in Excel with only the fields they need.
* The IT Director must reassign all instances of an account representative's customer contacts if the representative leaves the company.
* An alert must be sent automatically to an account representative when a credit is issued or any data is changed on a customer's record.
Requirements: Financials
* Any refund must be printed as a physical check.
* All printers must be exclusive to the financial legal entity.
Issues
* Typing 'pickle' in the search box yields no returned results for the account representative.
* After the latest update, an account representative reports that he is no longer receiving alert notifications when a customer's contact is changed.
* An account representative has recently resigned.
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