The retrieveBalances flow in the Mule application is designed to use an operation in a connector to the Finance system (the Finance operation) that
can only look up one account record at a time, and a operation from a different connector to the Audit system (the Audit operation) that can only
insert one account record at a time.
To best meet the performance-related requirements, what scope or scopes should be used and how should they be used to incorporate the Finance
operation and Audit operation into the retrieveBalances flow?
Sabra
14 days agoCecilia
2 days agoDewitt
17 days agoFausto
22 days agoRasheeda
23 days agoKati
1 months agoEleonore
7 days agoYvonne
17 days agoLili
26 days agoEvangelina
1 months agoGilma
2 months ago