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NEW QUESTION: 1
You manage a cloud service that has a web application named WebRole1. WebRole1 writes error messages to the Windows Event Log.
Users report receiving an error page with the following message: "Event 26 has occurred. Contact your system administrator."
You need to access the WebRole1 event log.
Which three actions should you perform? Each correct answer presents part of the solution.
A. Run the Set-AzureVMDiagnosticsExtensionPowerShell cmdlet.
B. Create a storage account.
C. Enable verbose monitoring.
D. Update the cloud service definition file and the service configuration file.
E. Run the Enable-AzureWebsiteApplicationDiagnostic PowerShell cmdlet.
F. Update the WebRole1 web.config file.
Answer: B,C,D
Explanation:
Explanation/Reference:
Explanation:
AF: You can monitor key performance metrics for your cloud services in the Azure Management Portal.
You can set the level of monitoring to minimal and verbose for each service role, and can customize the monitoring displays. Verbose monitoring data is stored in a storage account, which you can access outside the portal.
C: The service configuration file specifies the number of role instances to deploy for each role in the service, the values of any configuration settings, and the thumbprints for any certificates associated with a role. If the service is part of a Virtual Network, configuration information for the network must be provided in the service configuration file, as well as in the virtual networking configuration file. The default extension for the service configuration file is .cscfg.
The service definition file defines the service model for an application. The file contains the definitions for the roles that are available to a cloud service, specifies the service endpoints, and establishes configuration settings for the service.
References:
http://azure.microsoft.com/en-us/documentation/articles/cloud-services-how-to-monitor/
http://msdn.microsoft.com/en-us/library/azure/ee758710.aspx
http://msdn.microsoft.com/en-us/library/azure/ee758711.aspx
NEW QUESTION: 2
Which of the following audit procedures is best for identifying unrecorded trade accounts payable?
A. Reconciling vendors' statements to the file of receiving reports to identify items received just prior to the
balance sheet date.
B. Reviewing cash disbursements recorded subsequent to the balance sheet date to determine whether
the related payables apply to the prior period.
C. Examining unusual relationships between monthly accounts payable balances and recorded cash
payments.
D. Investigating payables recorded just prior to and just subsequent to the balance sheet date to
determine whether they are supported by receiving reports.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
Choice "C" is correct. Unrecorded trade accounts payable are best identified by reviewing cash
disbursements recorded subsequent to the balance sheet date to determine whether the related payables
apply to the prior period.
Choice "A" is incorrect. There is not usually a predictable relationship between accounts payable and cash
payments, because management can pay cash or incur additional liabilities at its discretion.
Choice "B" is incorrect. Reconciling vendors' statements to the file of receiving reports would not identify
unrecorded payables, as the vendor statement would still agree with the receiving report even if the
payable were not recorded.
Choice "D" is incorrect. Investigating payables already recorded would not help identify unrecorded trade
payables.
NEW QUESTION: 3
Order-to-Cashビジネスプロセスが財務会計ドキュメントを作成するトランザクションには、3つの誤った回答があります。
この質問には3つの正解があります。
応答:
A. 受注をリリースします。
B. 受注を作成します
C. 受注のコストを計算します
D. 請求書を作成する
Answer: A,B,C
NEW QUESTION: 4
A. (1) VI0 Server, LPARs using SSP for disks, and NPIV for tape library
B. (1) VIO Server, LPARs using vSCSI for disks, and NPIV for tape library Manage the VIO Server updates with alternate disk update method
C. (2) VIO Servers, All LPARs using NPIV virtualization
D. (2) VIO Servers, LPARs using vSCSI for disks, and NPIV for tape library
Answer: D