EXAM QSDA2024 FORUM, QSDA2024 TEST CRAM PDF

Exam QSDA2024 Forum, QSDA2024 Test Cram Pdf

Exam QSDA2024 Forum, QSDA2024 Test Cram Pdf

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2025 Exam QSDA2024 Forum | High-quality Qlik Sense Data Architect Certification Exam - 2024 100% Free Test Cram Pdf

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Qlik Sense Data Architect Certification Exam - 2024 Sample Questions (Q10-Q15):

NEW QUESTION # 10
Exhibit.

Refer to the exhibit.
The data architect needs to build a model that contains Sales and Budget data for each customer. Some customers have Sales without a Budget, and other customers have a Budget with no Sales.
During loading, the data architect resolves a synthetic key by creating the composite key.
For validation, the data architect creates a table that contains Customer, Month, Sales, and Budget columns.
What will the data architect see when selecting a month?

  • A. Customer Names and Sales records for the selected month, Budgets column can contain null or non-null values
  • B. All Customer Names for both Sales and Budget records for the selected month
  • C. Customer Names and Sales records for the selected month but with only non-null values in Budget column
  • D. Customer Names and Budaets records for the selected month. Sales column can contain null or non-null values

Answer: A

Explanation:
In the scenario where the data model is built with a composite key (keyYearMonthCustNo) to resolve synthetic keys, the following outcomes occur:
* Sales and Budget Data Integration:
* The composite key ensures that each combination of Year, Month, and Customer is uniquely represented in the combined Sales and Budget data.
* During data selection (e.g., when a specific month is selected), Qlik Sense will show all the customer names that have either Sales or Budget data associated with that month.
* Resulting Data View:
* For the selected month, customers with sales records will display their Sales data. However, if the corresponding Budget data is missing, the Budget column will contain null values.
* Similarly, if a customer has a Budget but no Sales data for the selected month, the Sales column will show null values.
Validation Outcome:When the data architect selects a month, they will see the following:
* Customer Names and Sales recordsfor the selected month, where the Sales column will have values and the Budget column may contain null or non-null values depending on the data availability.


NEW QUESTION # 11
A table is generated resulting from the following script:

When the data architect selects a date, some, but NOT all, orders for that date are shown.
How should the data architect modify the script to show all orders for the selected date?

  • A.
  • B.
  • C.
  • D.

Answer: D

Explanation:
The issue described is that not all orders for a selected date are shown. This issue arises because the original script uses the Date(OrderTime) function, which only extracts the date part of the OrderTime timestamp, potentially resulting in incorrect matching when filtering by date due to the time component still being present in the underlying data.
Explanation of Option D:
* Floor(OrderTime): The Floor() function truncates the OrderTime timestamp to remove the time component, leaving only the date part. This ensures that all orders on the same date are treated equally, without any interference from the time component.
* Date(Floor(OrderTime), 'YYYY-MM-DD'): The Date() function formats the floored value into a date format (YYYY-MM-DD), which is essential for consistent date comparison.
This approach ensures that when you select a date in the application, all orders for that date are shown, as the time component has been effectively removed.


NEW QUESTION # 12
A data architect in the Enterprise Architecture team wants to develop a new application summarizing Qlik Sense usage by all company employees. They also want to gather usage metrics for other systems.
Who should the data architect contact to be granted access to the data?

  • A. IT Security Manager, Qlik Sense Account Manager, Enterprise Architecture Director
  • B. IT Security Vice President, Human Resources Analyst, Qlik Sense Developers
  • C. IT Security Analyst, Qlik Sense Developers, Solutions Architect
  • D. IT Security Director, Human Resources Director, Qlik Sense Administrator

Answer: D

Explanation:
When developing an application that summarizes Qlik Sense usage by company employees and also gathers usage metrics for other systems, the data architect needs to ensure they have the correct access to sensitive data. The following roles are crucial:
* IT Security Director:Responsible for the security of IT systems and data. They would ensure that the data architect has the appropriate permissions to access usage metrics and other system data securely.
* Human Resources Director:They manage employee-related data, including employment records that might be necessary for matching employee IDs with usage metrics. This access is crucial for correlating usage data with specific employees.
* Qlik Sense Administrator:This individual has administrative rights over the Qlik Sense environment and can grant access to usage data within Qlik Sense, ensuring that the architect has the necessary data to analyze.
Given the need to securely and correctly handle sensitive data, including employee usage metrics across multiple systems,Option Aincludes all the appropriate contacts for access and permissions.


NEW QUESTION # 13
Exhibit.

Refer to the exhibits.
The Orders table contains a list of orders and associated details. A data architect needs to replace the SupplierlD with the SupplierName using the second table as the source.
The output must be a single table.
Which script should the data architect use?

  • A.
  • B.
  • C.
  • D.

Answer: D

Explanation:
In this scenario, the data architect needs to replace the SupplierID in the Orders table with the corresponding SupplierName from the Suppliers table, and the desired output should be a single table that includes all the order details along with the SupplierName instead of the SupplierID.
Analyzing the Options:
* Option A:
* Uses a MAPPING LOAD followed by an APPLYMAP to replace SupplierID with SupplierName in the Orders table. However, the table is dropped afterward, which means it won't produce the required output.
* The MAPPING LOAD approach is generally used to map values but is not necessary in this context as we are combining data from two tables directly.
* Option B:
* This option attempts to LEFT JOIN the Products table with the Suppliers table, but it does not directly address replacing SupplierID with SupplierName in the Orders table.
* Additionally, it does not remove the SupplierID after the join, which is essential for the correct output.
* Option C:
* This option uses a LEFT JOIN with the DISTINCT keyword on the SupplierID field to avoid duplicates. The SupplierName is correctly joined to the Orders table, replacing the SupplierID.
* This approach is the most appropriate because it results in a single table containing all order details with the SupplierName instead of the SupplierID.
* Option D:
* Similar to Option A, but it also introduces an unnecessary renaming step with MAPPING LOAD.
It's redundant and does not improve the solution over Option C.
Correct Script Choice:
Option Cis the correct script because:
* It ensures that SupplierName replaces SupplierID in the Orders table using a LEFT JOIN.
* The DISTINCT keyword is applied to the SupplierID field to prevent duplicate rows during the join.
* The result is a single table containing the required information with SupplierName in place of SupplierID.
References:
* Qlik Sense Join Operations: Using the correct JOIN type and ensuring proper deduplication (with DISTINCT if necessary) is key to merging tables in Qlik Sense.


NEW QUESTION # 14
A data architect needs to develop three separate apps (Sales, Finance, and Operations). The three apps share numerous identical calculation expressions.
The goals include:
* Reducing duplicate script
* Saving time on expression modifications
* Increasing reusable Qlik developer assets.
The data architect creates a common script and stores it on a file server that Qlik Sense can access. How should the data architect complete the requirements?

  • A. Macro on server
  • B. Execute server script
  • C. Include script function
  • D. Call batch file

Answer: C

Explanation:
When developing multiple Qlik Sense applications (Sales, Finance, Operations) that share numerous identical calculation expressions, it is crucial to have a centralized, reusable script to avoid redundancy, save time on modifications, and increase the reusability of the assets.
The best approach in Qlik Sense to achieve these goals is to use theIncludescript function. This function allows the data architect to reference a script file that is stored on a file server. The Include function willinject the contents of the external script file into the Qlik Sense script at the point where the Include statement is called. This means that all three apps (Sales, Finance, Operations) can include this common script, and any updates made to the script will automatically apply to all apps that include it.
This method provides a highly maintainable solution because:
* No Duplicate Script:The shared logic is maintained in a single file, eliminating redundancy.
* Ease of Modifications:Any changes made to the script are propagated to all applications that include it.
* Reusable Assets:The script can be reused across different applications, enhancing efficiency and consistency.


NEW QUESTION # 15
......

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