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NEW QUESTION: 1
Sie haben ein Microsoft 365-Abonnement, das eine Standarddomäne namens contoso.com verwendet.
Am 1. Februar 2019 wurden drei Dateien erstellt, wie in der folgenden Tabelle gezeigt.

Am 1. März 2019 erstellen Sie zwei Aufbewahrungsetiketten mit den Namen Label1 und Label2.
Die Einstellungen für Lable1 werden wie in der Ausstellung Label1 gezeigt konfiguriert. (Klicken Sie auf die Registerkarte Label1.)

Die Einstellungen für Lable2 werden wie in der Ausstellung Label2 gezeigt konfiguriert. (Klicken Sie auf die Registerkarte Label2.)

Sie wenden die Aufbewahrungsetiketten auf Exchange-E-Mail-, SharePoint-Websites- und OneDrive-Konten an.
Wählen Sie für jede der folgenden Anweisungen Ja aus, wenn die Anweisung wahr ist. Andernfalls wählen Sie Nein.
HINWEIS: Jede richtige Auswahl ist einen Punkt wert.

Answer:
Explanation:

Explanation

Box 1: No
Retention overrides deletion.
Box 2: No
Content in a document library will be moved to the first-stage Recycle Bin within 7 days of disposition, and then permanently deleted another 93 days after that. Thus 100 days in total.
Box 3: No
Items in an Exchange mailbox will be permanently deleted within 14 days of disposition.
References:
https://docs.microsoft.com/en-us/office365/securitycompliance/labels
https://docs.microsoft.com/en-us/office365/securitycompliance/disposition-reviews

NEW QUESTION: 2
What is the required parameter for the Payables to General Ledger Reconciliation Report?
A. Balancing Segment Value
B. Ledger
C. Financial Period
D. Natural Segment Value
E. Business Unit
Answer: B
Explanation:
Note: Extract Reconciliation Data from Payables to General Ledger Parameters
Request Name
Enter a name that is descriptive of this extract. Consider using a name that indicates the accounting period, date, and time, especially if you are planning to create multiple extracts.
Ledger
The ledgers available for selection are based on your security assignment.
Business Unit
Use this parameter to reconcile by a specific organization.
Note: You must explicitly map the business units to balancing segment values. If not, you must reconcile by ledger.
Period
You can select either Open or Closed accounting periods.
Account
If you have multiple payable general ledger accounts, you can limit the extract to specific general ledger accounts. The natural account segment values must have a Financial Category of Accounts payable assigned to be included in the Reconciliation report. If the Financial Category is not assigned to any natural account values in the chart of accounts, the extract will fail.
Intercompany Transactions
You can include or exclude intercompany transactions. Select Yes to include intercompany transactions in the reconciliation. Additionally, to reconcile only intercompany transactions, restrict the account range to include only the intercompany accounts.

NEW QUESTION: 3
A company has implemented one of its microservices on AWS Lambda that accesses an Amazon DynamoDB table named Books. A solutions architect is design an IAM policy to be attached to the Lambda function's IAM role, giving it access to put, update, and delete items in the Books table. the IAM policy must prevent function from performing any other actions on the Books table or any other.
Which IAM policy would fulfill these needs and provide the LEAST privileged access?
A)

B)

C)

D)

A. Option C
B. Option D
C. Option B
D. Option A
Answer: D

NEW QUESTION: 4
[email protected]という名前の新しいAzure Active Directoryセキュリティプリンシパルには、レポートデータベース内の現在および将来のすべてのオブジェクトを選択するためのアクセス権が必要です。プリンシパルに他の許可を与えないでください。 Azure SQLデータベースに対する認証には、Active Directoryドメインサービス(AD DS)アカウントを使用する必要があります。
新しいセキュリティプリンシパルを作成する必要があります。
どの3つのアクションを順番に実行しますか?答えるには、適切な行動を行動のリストから回答領域に移動し、正しい順序で並べます。

Answer:
Explanation:

Explanation

Step 1:
To provision an Azure AD-based contained database user (other than the server administrator that owns the database), connect to the database (here the Reporting database) with an Azure AD identity (not with a SQL Server account) that has access to the database.
Step 2: CREATE USER ... FROM EXTERNAL PROVIDER
To create an Azure AD-based contained database user (other than the server administrator that owns the database), connect to the database with an Azure AD identity, as a user with at least the ALTER ANY USER permission. Then use the following Transact-SQL syntax:
CREATE USER <Azure_AD_principal_name>
FROM EXTERNAL PROVIDER;
Step 3:
Grant the proper reading permissions.
References:https://docs.microsoft.com/en-us/azure/sql-database/sql-database-aad-authentication