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The Open Group OGA-032: ArchiMate 3 Part 2 exam is an essential certification for enterprise architects who want to validate their knowledge and gain recognition in the field. It is a challenging test that requires a deep understanding of the ArchiMate 3.0 specification and practical experience in its application. Candidates who Pass OGA-032 Exam have a globally recognized certification that demonstrates their expertise in enterprise architecture, which can lead to opportunities for career growth and advancement.
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The Open Group ArchiMate 3 Part 2 Exam Sample Questions (Q19-Q24):
NEW QUESTION # 19
Please read this scenario prior to answering the question
ArchiCar has been a market leader in the premium priced luxury car sector for the last decade. Its product leadership strategy has brought superior products to market, and enabled ArchiCar to achieve premium prices for its cars. This strategy has been widely successful in the past, but recently competitors have been offering comparable products and taking significant market share. The governing board of ArchiCar has identified opportunities in emerging markets where the ArchiCar brand is associated with luxury and high performance products, but is thought to be too expensive for mass-market success.
Based on this assessment, the board has made the decision to setup a subsidiary company to mass-produce affordable cars locally. This will be achieved by focusing on a strategy of operational excellence. Such a strategy is ideal for such markets where customers value cost over other factors.
To facilitate this strategic transformation, the project has been divided into multiple phases within a five-year program. The initial phase, known as "Achieving Operational Excellence," is underway. The engineering team has begun devising an action plan to drive the necessary changes and outlining the technological conditions that must be met. The product architect has identified three current capabilities - industry-leading engineering, high-quality materials sourcing, and cutting-edge focussed R&D - along with their contributions to the new production philosophy.
Moving forward, it has been determined that two out of the three current capabilities require revision.
Materials sourcing needs to be adjusted to meet optimization demands, and R&D targets must align with future goals to enable affordable production.
Additionally, process engineering is introduced as a fourth capability to shift the company's focus from products to a process-oriented approach.
The Enterprise Architecture team has been tasked with migration planning, and identifying keywork packages and deliverables. They have identified two transition states between the current and future scenario. The first transition aims to adjust current capabilities, including revising the R&D approach and procurement strategy. The second transition aims to shift from a product-centric mindset to a process-focused approach and adjust materials sourcing accordingly.
It is important to consider existing
supplier contracts that cannot be immediately canceled during this process.
The Enterprise Architecture team has identified that the second transition must implement a process framework, in order to shift to a process focus and meet a number of requirements, including the requirement for end-to-end process thinking. As this requirement impacts procurement processes, it also impacts the procurement strategy.
Refer to the Scenario
You have been tasked with modeling the current capabilities of ArchiCar, identifying the capabilities necessary for the company to achieve Operational Excellence, and showing the motivations behind these changes Which of the following models best answers this?
- A. A diagram of a process AI-generated content may be incorrect.

- B. A diagram of a process AI-generated content may be incorrect.

- C. A diagram of a process AI-generated content may be incorrect.

- D. A diagram of a process AI-generated content may be incorrect.

Answer: C
Explanation:
We need to find the model that best represents:
* Current Capabilities- Industry-leading engineering, high-quality materials sourcing, and cutting-edge focused R&D.
* Strategic Shift- Moving fromproduct leadershiptooperational excellenceto enter emerging markets.
* Required Changes-
* AdjustingR&D targetsto support cost-effective production.
* Revisingmaterials sourcingfor optimization.
* Introducingprocess engineeringto enable a process-oriented mindset.
* Motivations Behind the Changes-
* Competitor pressure.
* Emerging market opportunities.
* High costs limiting mass-market success.
Why D is the Best Choice:
#Includes all current and future capabilities- Shows the existing strengths ofengineering, R&D, and materials sourcingwhile introducingprocess engineeringas required for operational excellence.#Clearly depicts the shift in strategy- Fromproduct leadershiptooperational excellenceand the necessary transformations.#Captures stakeholder concerns and motivations- Includingcompetition, cost concerns, and emerging market opportunities.#Represents dependencies and sequencing correctly- Reflecting how each capability changecontributes to the transition states and ultimate business goals.
Why Not A, B, or C?
* A:Does not properly represent the transition betweenproduct leadershipandoperational excellence.
* B:Fails to clearly define the requiredcapability changesand motivations.
* C:Lacks key relationships betweenstrategy shifts and operational changes.
NEW QUESTION # 20
Please read this scenario prior to answering the question
An airline operates a Flight Scheduling process supported by a Scheduling Engine and Crew Management application.
Flight schedules and staff availability are stored in separate databases. Both applications run in redundant server clusters connected via dual LAN switches and independent storage arrays.
Refer to the scenario.
Which option best represents the relationships across layers?
- A. Model crew availability as a Business Actor.
- B. Model applications only as Technology Nodes.
- C. Use Aggregation only for all relationships.
- D. Model Flight Scheduling as a Business Process served by Application Services realized by Application Functions assigned to Application Components, accessing Data Objects, deployed on Server Nodes connected through Communication Networks to Storage Devices.
Answer: D
NEW QUESTION # 21
Please read this scenario prior to answering the question
ArchiSurance has decided to leverage its financial expertise by offering defined contribution retirement plans.
Each trading day, ArchiSurance submits consolidated mutual fund trading transactions to a stock exchange on behalf of its retirement plan participants.
The daily mutual fund trading cycle consists of four key processes: Transaction capture, pricing, trading and reconciliation. Transaction capture consists of two sub-processes: manual exchange and loans and distributions (L&D). For transaction capture, retirement plan participants use an online account management application to enter manual fund exchange transactions. For L&D, plan participants use a separate application to enter requests. The L&D application determines whether the request can be fulfilled based on the mutual fund balances held in each plan balances and a set of business rules. Each day's captured manual exchange transactions accumulate in a transaction database.
ArchiSurance contracts with a third-party information service to receive a file of mutual fund prices at the close of each trading day. The pricing application uses this file to convert captured transaction into trades, and then validates each trade against the mutual fund balances held in each plan. The pricing application generates a trade file with the minimum number of trades necessary. The trading application sends this file to an external trading service. When the trading application receives a confirmation file back from the trading service, it passes it to the reconciliation application, which updates the plan recordkeeping database.
The lead application Architect has decided to merge the pricing application, the trading application and the reconciliation application into one application, which will be serving the pricing, trading and reconciliation processes respectively. The reason for this is that maintenance costs for these three components are too high and the performance is too slow. This implementation will increase the performance and lower the maintenance cost significantly.
The CIO has agreed on this plan, but wants this to be done in two phases, each in a separate project. Phase 1 should include the merger of the Trading and Pricing applications. Phase 2 should then merge the merged applications with the Reconciliation application respectively. Each project phase has a number of defined deliverables. Phase 1 has two deliverables, TraPri application implemented and tested' and 'Active TraPri application', whichtogether form a first transition architecture. Phase 2 has two deliverables, 'Recon 2.0 application implemented and tested' and 'Back-up applications phased out', which together form the second transition architecture. These two projects are part of the ArchiSurance application integration program scheduled for the next 6 months.
Refer to the Scenario
You have been asked by the lead application architect to show how the applications used for daily trading can be migrated. This should include a description of the work packages, deliverables and transition architectures.
Which of the following answers best describes the applications and migration plan?
- A. A diagram of a process flow AI-generated content may be incorrect.

- B. A diagram of a process AI-generated content may be incorrect.

- C. A diagram of a process flow AI-generated content may be incorrect.

- D. A diagram of a trading application AI-generated content may be incorrect.

Answer: C
Explanation:
We need to determine the best model that:
* Shows the current applications and their functions- Pricing, Trading, and Reconciliation applications.
* Represents the migration phases-
* Phase 1:Merges the Trading and Pricing applications intoTraPri.
* Phase 2:MergesTraPriwith the Reconciliation application to createRecon 2.0.
* Includes transition architectures- Each phase has distinct deliverables marking the transition from old applications to new merged applications.
* Shows the work packages and dependencies- The sequence of activities leading to the final implementation.
Why D is the Best Choice:
#Clearly distinguishes baseline (existing) applications and the new applicationsafter the migration.# Illustrates the two transition states correctly-
* First transition:Implementation and activation of theTraPriapplication.
* Second transition:Implementation ofRecon 2.0and phase-out of backup applications.#Depicts the migration process sequentially- Ensuring a clear understanding of how the applications evolve over time.#Work packages and deliverables are well structured- Aligning with the phases described in the scenario.
Why Not A, B, or C?
* A:Does not correctly represent the transition phases and their deliverables.
* B:Lacks clarity in differentiating baseline applications from transition architectures.
* C:Misrepresents dependencies and transition states, making the migration process unclear.
NEW QUESTION # 22
Please read this scenario prior to answering the question
A utility provider manages a Smart Meter Monitoring process.
A Meter Data Collector gathers readings from field devices and stores them in a Meter Repository. A Monitoring Dashboard application retrieves this data and generates alerts.
Both applications run in a cloud environment on virtual machines connected through a cloud network and backed by distributed storage.
Refer to the scenario.
Which option provides the most comprehensive model?
- A. Model Smart Meter Monitoring as a Business Process served by Application Services realized by Application Functions assigned to Application Components, accessing Data Objects, deployed on Virtual Nodes connected by Communication Networks to Technology Devices.
- B. Model the repository only as a Technology Artifact without logical data access.
- C. Model the Dashboard as a Business Role.
- D. Model only the cloud environment.
Answer: A
NEW QUESTION # 23
Please read this scenario prior to answering the question
ArchiSurance has decided to leverage its financial expertise by offering defined contribution retirement plans. Each trading day, ArchiSurance submits consolidated mutual fund trading transactions to a stock exchange on behalf of its retirement plan participants.
The daily mutual fund trading cycle consists of four key processes: Transaction capture, pricing, trading and reconciliation. Transaction capture consists of two sub-processes: manual exchange and loans and distributions (L&D). For transaction capture, retirement plan participants use an online account management application to enter manual fund exchange transactions. For L&D, plan participants use a separate application to enter requests. The L&D application determines whether the request can be fulfilled based on the mutual fund balances held in each plan balances and a set of business rules. Each day's captured manual exchange transactions accumulate in a transaction database.
ArchiSurance contracts with a third-party information service to receive a file of mutual fund prices at the close of each trading day. The pricing application uses this file to convert captured transaction into trades, and then validates each trade against the mutual fund balances held in each plan. The pricing application generates a trade file with the minimum number of trades necessary. The trading application sends this file to an external trading service. When the trading application receives a confirmation file back from the trading service, it passes it to the reconciliation application, which updates the plan recordkeeping database.
The lead application Architect has decided to merge the pricing application, the trading application and the reconciliation application into one application, which will be serving the pricing, trading and reconciliation processes respectively. The reason for this is that maintenance costs for these three components are too high and the performance is too slow. This implementation will increase the performance and lower the maintenance cost significantly.
The CIO has agreed on this plan, but wants this to be done in two phases, each in a separate project. Phase 1 should include the merger of the Trading and Pricing applications. Phase 2 should then merge the merged applications with the Reconciliation application respectively. Each project phase has a number of defined deliverables. Phase 1 has two deliverables, 'TraPri application implemented and tested' and 'Active TraPri application', which together form a first transition architecture. Phase 2 has two deliverables, 'Recon 2.0 application implemented and tested' and 'Back-up applications phased out', which together form the second transition architecture. These two projects are part of the ArchiSurance application integration program scheduled for the next 6 months.
Refer to the Scenario
You have been asked by the lead application architect to show how the applications used for daily trading can be migrated. This should include a description of the work packages, deliverables and transition architectures.
Which of the following answers best describes the applications and migration plan?
- A.

- B.

- C.

- D.

Answer: B
Explanation:
This diagram is the one that correctly captures:
- Program with three sequential projects (Phase 1 merger, Phase 2 merger, Phase out old applications) at the top.
- Each phase's deliverables ("TraPri application implemented and tested" + "Active TraPri application" → first transition; "Recon 2.0 application implemented and tested" + "Back-up applications phased out" → second transition) linked into two distinct plateaus ("1. Merged Trading & Pricing applications" and "2. Merged TraPri application & Reconciliation application").
- A clear baseline on the left showing the three existing applications, and the final target apps on the right (TraPi application and Recon 2.0 application).
NEW QUESTION # 24
......
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