
[2023年12月05日]Fast2test 1z0-1087-23試験練習テスト問題(更新された81問あります)
合格させるOracle 1z0-1087-23試験情報と無料練習テスト
質問 # 23
Which statement is true about saved filters?
- A. Any user can publish a saved filter that they created.
- B. Only service administrators can publish filters.
- C. Saved Filters are public by default.
- D. Only power users and service administrators can publish filters.
正解:C
質問 # 24
Which two rule types are available in profiles? (Choose two.)
- A. Flag As Needs Attention
- B. Require Reconciliation Attachment
- C. Delete Reconciliation
- D. Copy Transactions from Prior Reconciliation
- E. Auto Approve Reconciliation
正解:D、E
質問 # 25
When a user requests that responsibility for a reconciliation be reassigned to John, who is another regular user,
John should be able to approve the request.
How can this be configured?
- A. On the Manage Users tab of the Access Control page, assign John the Reassignment Approvers role.
- B. In his User Preferences, John should select the Approve Reassignments option.
- C. On the Reassignment Requests tab in System Settings, in the Allow Reassignment Request Approval By
option, select Users. - D. Add John to the Reassignment Approvers security group.
正解:C
質問 # 26
Which statement regarding user-defined attributes is FALSE?
- A. They can be assigned default value.
- B. They can include calculated values.
- C. You can no longer add/edit attributes after reconciliations are created.
- D. You can assign access by user role.
正解:C
質問 # 27
A profile's properties have been modified and the changes saved. Which statement is correct?
- A. Existing reconciliations with Pending status that use the profile are updated with the changes.
- B. Existing reconciliations that use the profile are not updated.
- C. Existing reconciliations with Pending or Open With Preparer status that use the profile are updated with
the changes. - D. Existing reconciliations that use the profile are updated after approval by a system administrator.
正解:C
質問 # 28
In the Balance Explanations tab of the Prepaid Expenses reconciliation, you want to include the transactions
and attachments from the prior period in the current period.
Which action should you perform?
- A. In the Reconciliations list, copy the reconciliation from the prior period and paste it into the current
period. - B. Export the transactions from the prior period reconciliation and then import them to the current period reconciliation.
- C. In the Balance Explanations tab of the current period reconciliation, select 'Copy Transactions from
Prior Reconciliation'. - D. In the profile for Prepaid Expenses reconciliations, select 'Include Prior Period Transactions'.
正解:D
質問 # 29
Which statement is FALSE of teams?
- A. A user can belong to more than one team.
- B. Teams are assigned to profiles on the Workflow tab.
- C. A team can have another team as a member.
- D. Teams can be assigned a primary user.
正解:B
質問 # 30
Which is required for a valid profile?
- A. at least one level of review
- B. at least one question
- C. at least one currency bucket
- D. at least one rule
正解:C
質問 # 31
You want to load balances for both the Entered currency bucket and the Functional currency bucket in a single
data load.
Which tool should you use?
- A. Smart View
- B. Data Management data load rule
- C. Supplemental Data Management form
- D. 'Import pre-mapped balances' option in the Periods page
正解:B
質問 # 32
Which two are auto-reconciliation methods? (Choose two.)
- A. No Data
- B. Balance Match (%tolerance)
- C. Balance has not changed
- D. Balance is zero and no activity
正解:B、D
質問 # 33
In which location do you configure rules for reconciliation compliance transactions?
- A. Match Type
- B. Format
- C. Profile
- D. Reconciliation
正解:B
質問 # 34
Which statement about loading pre-mapped balances is FALSE?
- A. You can drill back to the ERP from the reconciliation screen.
- B. You must select a period to which to load the balances.
- C. You must select a currency bucket for the import.
- D. You can import from either tab separated or comma separated files.
正解:A
質問 # 35
Which ability does NOT belong to users with the Power User role?
- A. review reconciliations
- B. edit formats to which they are assigned access
- C. prepare reconciliations
- D. edit profiles to which they are assigned access
正解:B
質問 # 36
When can you run auto-matching for a transaction matching reconciliation?
- A. after the reconciliation status changes to Open With Preparer
- B. after the reconciliation meets its start date
- C. after you load transactions to the reconciliation data sources
- D. after the period end date is reached
正解:C
質問 # 37
When would you use the Variance Analysis reconciliation method?
- A. To reconcile the same balance across general ledgers that follow different governing rules.
- B. To explain the difference in balances within the same account over different periods.
- C. To explain the difference in balances from the standards set by an organization in its budget.
- D. To justify each detail line of the total balance for the period.
正解:A
質問 # 38
Which statement is FALSE about Summary reconciliations?
- A. The Unexplained Difference on the Balance Summary tab shows the total unexplained difference for all the child reconciliations.
- B. You can select Show All on the Balance Summary tab to view balances for the child reconciliations.
- C. The Group Detail tab shows transactions for the sub segments.
- D. Summary reconciliations include other individual reconciliations as children.
正解:C
質問 # 39
In which row does an unmatched transaction with an accounting date of April 30th display in the period-end
reconciliation for May 31?
- A. It is excluded from the report
- B. Matched In Transit
- C. Unmatched
- D. Unmatched Supported
正解:D
質問 # 40
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