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NEW QUESTION: 1
Your company has on-premises Microsoft SQL Server instance.
The data engineering team plans to implement a process that copies data from the SQL Server instance to Azure Blob storage. The process must orchestrate and manage the data lifecycle.
You need to configure Azure Data Factory to connect to the SQL Server instance.
Which three actions should you perform in sequence? To answer, move the appropriate actions from the list of actions to the answer area and arrange them in the correct order.
Answer:
Explanation:
Explanation
Step 1: Deploy an Azure Data Factory
You need to create a data factory and start the Data Factory UI to create a pipeline in the data factory.
Step 2: From the on-premises network, install and configure a self-hosted runtime.
To use copy data from a SQL Server database that isn't publicly accessible, you need to set up a self-hosted integration runtime.
Step 3: Configure a linked service to connect to the SQL Server instance.
References:
https://docs.microsoft.com/en-us/azure/data-factory/connector-sql-server
NEW QUESTION: 2
Your network contains an Active Directory domain named contoso.com. The domain contains a server named Server1 that runs Windows Server 2012 R2.
You enable and configure Routing and Remote Access (RRAS) on Server1.
You create a user account named User1.
You need to ensure that User1 can establish VPN connections to Server1.
What should you do?
A. Add a RADIUS client
B. Modify the Dial-in setting of User1
C. Modify the members of the Remote Management Users group
D. Create a connection request policy
Answer: B
Explanation:
Explanation/Reference:
Explanation:
Access permission is also granted or denied based on the dial-in properties of each user account.
References:
http://technet.microsoft.com/en-us/library/cc772123.aspx
NEW QUESTION: 3
View the Exhibit and examine the user information.
The user has been granted CONNECT and RESOURCE roles and no individual system privileges. The SL_REP user executes this command to create a table:
The PURCHASE_SPACE tablespace already exists in the database.
Which statement describes the effect of the command?
Exhibit:
A. The command produces an error because the user does not have quota in the PURCHASE_SPACE tablespace.
B. The command produces an error because the user does not have the privilege to createthe table.
C. The command executes successfully and creates the table in the USERS tablespace.
D. The command executes successfully and creates the table in the PURCHASE_SPACE tablespace.
Answer: D
Explanation:
Explanation/Reference:
Explanation:
NEW QUESTION: 4
A client has a large and active investment portfolio that is kept in a bank safe deposit box. If the auditor is
unable to count the securities at the balance sheet date, the auditor most likely will:
A. Count the securities at a subsequent date and confirm with the bank whether securities were added or
removed since the balance sheet date.
B. Examine supporting evidence for transactions occurring during the year.
C. Request the client to have the bank seal the safe deposit box until the auditor can count the securities
at a subsequent date.
D. Request the bank to confirm to the auditor the contents of the safe deposit box at the balance sheet
date.
Answer: C
Explanation:
Explanation/Reference:
Explanation:
Choice "D" is correct. If the auditor is unable to count the securities at the balance sheet date the auditor
should request the client to have the bank seal the safe deposit box until the auditor can count the
securities.
Choice "A" is incorrect. Bank employees are not present when items are put into or taken from the safety
deposit box and do not keep records of safety deposit box contents. They would therefore be unable to
provide any information to the auditors.
Choice "B" is incorrect. Examining supporting evidence for the transactions occurring during the year is
inefficient, as many of the securities purchased during the year may have been sold before the balance
sheet date. Counting securities is preferable as it provides direct external evidence of the securities on
hand at year-end.
Choice "C" is incorrect. Bank employees are not present when items are put into or taken from the safety
deposit box and do not keep records of safety deposit box contents. They would therefore be unable to
provide any information to the auditors.
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