[2024年05月] 厳密検証された1z0-1060-22問題集と解答で1z0-1060-22問題集と正解付き
ベストOracle Financials Cloud学習ガイドは1z0-1060-22試験合格させます
Oracle 1z0-1060-22認定試験は、120分以内に回答する必要がある60問の多肢選択問題から構成されています。この試験では、Oracle Accounting Hub Cloudソリューションの設定、構成、他のOracle Cloud製品との統合など、様々なトピックが扱われます。候補者は、会計原則と実践についての良好な理解力、Oracle Financials CloudおよびOracle ERP Cloudの経験を持っていることが期待されています。
質問 # 12
Given the business use case:
'New Trucks' runs a fleet of trucks in a rental business In the U.S. The majority of the trucks are owned; however, in some cases, 'New Truck' may procure other trucks by renting them from third parties to their customers. When trucks are leased, the internal sourcecode is 'L'. When trucks are owned, the internal source code is 'O'. This identifies different accounts used for the Journal entry. Customers sign a contract to initiate the truck rental for a specified duration period. The insurance fee is included in the contract and recognized over the rental period. For maintenance of the trucks, the "New Trucks* company has a subsidiary company 'Fix Trucks' that maintains its own profit and loss entity. To track all revenue, discounts, and maintenance expenses, 'New Trucks' needs to be able to view: total maintenance fee, total outstanding receivables, rental payment discounts, and total accrued and recognized insurance fee income.
How do you calculate discounts for use in the accounting rule?
- A. Use mapping set rules
- B. Usecustom formulas
- C. Use flexfield
- D. Use analytical calculations
正解:B
質問 # 13
Which statement is true about managing data access for users?
- A. Data assignments can be made only to users who are assigned to specific abstract roles
- B. Data assignments can be made to all users without a role assignment
- C. Data assignments can be made only to users who are assigned to specific duty roles
- D. Data assignments can be made only to users who are assigned to specific job roles
正解:D
質問 # 14
In the process of analyzing data from a source system you find that there are no reliable amounts that can be used to build a subledger journal entry.
How can you resolve this challenge?
- A. Use a custom formula in a journal line rule to derive amounts.
- B. Use a custom formula in a supporting reference to derive amounts.
- C. Use a custom formula in a description rule to derive amounts.
- D. Use a custom formula in an account rule to derive amounts.
正解:A
質問 # 15
A customer has a business requirement to provide additional information about subledger Journals that cannot be found in a predefined report.
How can you meet this requirement?
- A. Build a Financial Reporting Studio report that includes all dimensions.
- B. Use either Account Monitor or Account Inspector to get required Information.
- C. Create a Smart View report using the query designer feature.
- D. Build an OTBI analysis that includes a relevant subject area.
正解:D
質問 # 16
Which statement is true about accounting transformation?
- A. It allows recording of transaction directly in the registration third-party source system.
- B. It is used to build approval rules for transaction recorded in third party source system.
- C. It is the process of converting transaction or activities into journal entries that are recorded only Oracle -owned source system.
- D. It is the process of converting transaction or activities from any source systems into journal entries.
正解:D
質問 # 17
Which is an alternate way to implement a mapping set rule?
- A. Define a lookup type rule with conditions.
- B. Define a chart of account rule with conditions.
- C. Define a flexfield rule with conditions.
- D. Define an account rule with conditions.
正解:D
質問 # 18
Which four of the following are the mandatory parameters to search for a subledger journal on the Review Subledger Journals Page?
- A. Date
- B. Event Type
- C. Transaction Number
- D. Journal Source
- E. Status
- F. Ledger
正解:A、D、E、F
質問 # 19
Which three are mandatory transaction source information?
- A. Distribution Link
- B. Transaction Line
- C. Transaction Number
- D. Transaction Date
- E. Ledger Name
正解:C、D、E
質問 # 20
Which two methods can you use to manage your setup data in the Functional Setup Manager?
- A. Feature-based
- B. Role-based
- C. Functional Area-based
- D. Implementation Project-based
正解:C、D
質問 # 21
Which four components are created by the source system registration upload process in a single step?
- A. Account Rules
- B. Description Rules
- C. Journal Source
- D. Transaction Objects
- E. Event Model
- F. Journal Category
正解:C、D、E、F
質問 # 22
Where do you define the currency conversion type to be used in converting accounted amount for reporting currency ledger?
- A. Manage Subledger Accounting Options
- B. Manage Reporting Currencies
- C. Specify Ledger Options
- D. Manage Accounting Attribute Assignments
正解:B
質問 # 23
To support foreign currency transaction in Accounting Hub, which accounting attributes must be assigned a source?
- A. Conversion date and conversion rate
- B. Conversion type, conversion date and conversion rate
- C. Conversiontype and conversion date
- D. Conversion type
正解:B
質問 # 24
A new source system has been registered into Accounting Hub Cloud. Users are actively using this new subledqer. Subsequently, the business signed up a contract with a new supplier. A new mapping value that maps suppliers with the accounts needs to be added. You make updates on the mappings in the existing mapping set rule by adding more mapping valued.
After saving the update, what is the next required action?
- A. There is no required action. The mapping addition is complete.
- B. Activate the journal entry rule set.
- C. Activate the accounting method.
- D. Download a new transaction data template.
正解:A
質問 # 25
Which three duty roles are required to perform Accounting Hub setup tasks?
- A. Subledger Accounting Manager
- B. Accounting Hub Integration
- C. Accounting Hub Administration
- D. Application Implementation Consultant
- E. Accounting Hub Maintenance
正解:B、C、D
質問 # 26
What is "Opt-In," in the context of the Functional Setup Manager?
- A. It is a step where you enter the setup data necessary for your enabled offerings and functional areas
- B. It is a step where you can select the offerings, functional areas, and features that best fit your business requirements
- C. It is a step where you move verified data into the production environment
- D. It is a step where you will identify the offerings that you want to implement
正解:A
質問 # 27
Given the subledger journal entry:
Note that the first segment is the primary balancing segment.
Which statement is True regarding this subledger journal entry?
- A. It appears correct.
- B. It is not balanced by entered currency.
- C. It is not balanced by entered amounts.
- D. It is not balanced by balancing segment.
正解:D
質問 # 28
Given the business use case:
'New Trucks' runs a fleetof trucks in a rental business In the U.S. The majority of the trucks are owned; however, in some cases, 'New Truck' may procure other trucks by renting them from third parties to their customers. When trucks are leased, the internal source code is 'L'. When trucks are owned, the internal source code is 'O'. This identifies different accounts used for the Journal entry. Customers sign a contract to initiate the truck rental for a specified duration period. The insurance fee is included in the contract andrecognized over the rental period. For maintenance of the trucks, the "New Trucks* company has a subsidiary company 'Fix Trucks' that maintains its own profit and loss entity. To track all revenue, discounts, and maintenance expenses, 'New Trucks' needs tobe able to view: total maintenance fee, total outstanding receivables, rental payment discounts, and total accrued and recognized insurance fee income.
What would the typical line information be?
- A. Truck Type
- B. TransactionDate
- C. Company
- D. Customer Number
正解:D
質問 # 29
After supporting references balances setup component is tagged to subledger journal entries, what type of reports need to be created so that the information is available to users?
- A. a predefined Oracle Business Intelligence Publisher report
- B. an Oracle Financial Reporting Studio report
- C. an Oracle Transactional Business Intelligence analysis
- D. a Smart View Report
正解:C
質問 # 30
The new billing source system has been registered into Accounting Hub Cloud. The subledger is in active state. At a later date, the business decides to bring in another legacy system (for example, a payment system) for accounting in Accounting Hub.
What two options do you have?
- A. Change the transaction data file.
- B. Add this as a new transaction type into existing registered subledger from the user interface.
- C. Add this as a new transaction typo into existing subledger registration spreadsheet template.
- D. Register it as a new source system.
正解:B、D
質問 # 31
Which tool enables developers to produce real-time information by creating analyses and reports by suing graphs, charts, and tables?
- A. BI Answers.
- B. BI Publisher.
- C. Financial Reporting Studio.
- D. BI Composer.
正解:A
質問 # 32
......
Oracle 1Z0-1060-22試験に合格すると、候補者はOracle Accounting Hub Cloud 2022実装専門的な認定を取得します。この認定は、Oracle Accounting Hub Cloud 2022ソリューションの実装と管理に関する候補者の専門知識を示し、組織にとって貴重な資産となり、金融アプリケーション分野でのキャリアの見通しを強化します。
Oracle 1Z0-1060-22認定試験は、重要な準備と研究を必要とする厳格で挑戦的な試験です。ただし、この認定を獲得することは、キャリアを進め、Oracle Accounting Hub Cloud 2022ソリューションの実施に関する専門知識を実証したい会計および金融業界の専門家にとって非常に有益です。
1z0-1060-22認定ガイド問題と解答トレーニングにはFast2test:https://jp.fast2test.com/1z0-1060-22-premium-file.html
1z0-1060-22認定お試しPDFで最新1z0-1060-22問題集:https://drive.google.com/open?id=19swI7FPaM4a153YTjEjjY2DtfYwE44Fu