Oracle 1z0-1060-22リアル試験問題解答は無料
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Oracle Accounting Hub Cloud 2022 Implementation Professional 認定試験 (1z0-1060-22) は、Oracle Accounting Hub Cloud を実装および統合する専門家が、その専門知識を証明したいと考える場合に設計されています。この試験は、候補者がアカウンティングハブクラウドアプリケーションを構成し、他の財務システムと統合し、データ品質を確保し、財務レポートを実行できる能力を検証します。Oracle 1z0-1060-22 認定は、世界的に認められた資格であり、財務および会計領域でのキャリアアップに役立ちます。
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。
Oracle Accounting Hub Cloud 2022 Implementation Professional試験、またはOracle 1z0-1060-22試験は、Oracleが提供する認定試験の1つです。この試験は、Oracle Accounting Hub Cloudソリューションを実装および管理する責任を持つ専門家を対象としています。試験は、会計設定、データ統合、財務報告、および会計自動化など、さまざまなトピックをカバーしています。試験に合格することで、候補者のOracle Accounting Hub Cloudソリューションの実装および管理に関する知識とスキルが証明されます。
質問 # 24
Which four options are used to reconcile subledger journal entries?
- A. Run the Subledger Accounting Diagnostics report.
- B. Run the Subledger Accounting Method Setups report.
- C. Set up reconciliation using the reconciliation reference accounting attribute.
- D. Tag supporting references with journal entry lines.
- E. Assign a descriptive text and source on journal lines.
- F. Build a custom OTBI report.
正解:C、D、E、F
質問 # 25
Which two options allow validating input values on mapping sets?
- A. Segment values
- B. Lookup types
- C. Chart of accounts segment
- D. Value sets
正解:B、D
質問 # 26
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 is notbalanced by balancing segment.
- B. It is not balanced by entered amounts.
- C. It is not balanced by entered currency.
- D. It appears correct.
正解:A
質問 # 27
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 # 28
Which role provides full access to perform all Functional Setup Manager-related activities?
- A. IT Security Manager
- B. Application Implementation Manager
- C. Accounting Hub Integration
- D. Application Implementation Consultant
正解:D
質問 # 29
Given the journal:
What is the terminology that is used to identify the "Account Number', 'Original Balance' ,and 'Origination Date' fields?
- A. Source System Identifier
- B. User Transaction Identifier
- C. Attribute Identifier
- D. System Identifier
正解:B
質問 # 30
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 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 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 pass the calculated value for discount amounts in accounting rules to the corresponding journal line?
- A. Assign it to an accounting attribute.
- B. Assign it to an accounting method.
- C. Assign it to a transaction type.
- D. Assign it to an account rule.
正解:D
質問 # 31
What is a user job role data context assignment?
- A. Duty role context assignment to a user
- B. Security data role context assignment to a user job role
- C. Security privileges assignment to a user job role
- D. Security data access context assignment to a user job role
正解:D
質問 # 32
Which two actions can you accomplish for a registered source system?
- A. Add new event classes through the user interface.
- B. Revise source Information through the user interface and add more sources.
- C. Modify the subledger application name as long as there are no pending accounting entries.
- D. Import the source system registration spreadsheet template multiple times as long as there are no accounting rules created yet.
正解:B、D
質問 # 33
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 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 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.
What would the typical line information be?
- A. Truck Type
- B. Company
- C. Customer Number
- D. Transaction Date
正解:A
質問 # 34
A financial analyst at your workplace would like to frequently view Journal entries report with all line details attributes with user's specific set of criteria and pivot table.
What is the solution to implement this requirement quickly?
- A. Build a new data warehouse solution.
- B. Request support team to download subledger Journal entry data.
- C. Build a custom Oracle Transactional Business Intelligence report on subledger accounting subject areas.
- D. Run predefined reports and filter the report with the available report parameters.
正解:C
質問 # 35
How many transaction eventclasses can be set up for a subledger uploaded to Accounting Hub Cloud?
- A. Three
- B. Two
- C. Unlimited
- D. One
正解:A
質問 # 36
'Insurances for Homes' company provide home insurance service. They have in-house built system that processes home insurance payments received from customers. The end result of the process consists of a listing of individual journal entries in a spreadsheet. They have requirements for getting all journal entries in a secure and auditable repository. Access will be limited to selective staff members. Additionally, be able to report and view the entries using an advanced reporting and analytical tools for slicing and dicing the Journal entries.
Which is a correct example for a formula to prorate amounts evenly across each period? Note that the NumberofGLPeriod is a predefined function that returns the number of non adjustment accounting periods between two dates.
- A. "Amount" - ("Last Day of Current Accounting Period" - "Effective Date" ) / ("Expiry Date" -"Effective Date")
- B. "Amount" * ("Last Day ol Current Accounting Period" - "Effective Date" + 1) / (("Expiry Date" "Effective Date") + 1)
- C. "Amount" * NumberofGLPeriod ("Effective Date", "Last Day of Current Accounting Period") / NumberofGLPeriod ("Effective Date", 'Expiry Date")
- D. "Amount" *( NumberofGLPeriod ("Effective Date", "Last Day of Current Accounting Period") + 1)/ (NumberofGLPeriod ("Effective Date", "Expiiy Date") + 1)
正解:C
質問 # 37
Which component of the Accounting Method is used to store additional source information about transactions and is also useful for reconciliation of accounting to source systems, as well as reporting?
- A. Description Rules
- B. Journal Line Rules
- C. Conditions
- D. Supporting References
正解:D
質問 # 38
After registering a new source system into Accounting Hub and going live for a short period, your customer identified the need to add additional transaction sources. What should you do?
- A. Add new transaction sources from the user interface.
- B. Add new transaction sources in the current source system registration spreadsheet and re-upload the spreadsheet file.
- C. Tell them this cannot be implemented.
- D. Register another source system that includes these new transaction sources.
正解:A
質問 # 39
Which two components are used by the Approvals Workflow in Oracle Cloud Applications?
- A. BPM Worklist
- B. SOA Suite
- C. Calculation Manager
- D. OTBI
正解:A、B
質問 # 40
Invoices received from a source system need to use a specific account based on 30 different expense types. However, if the invoice is from a certain supplier type, it needs to go to a default account regardless of the expense type.
What is the solution?
- A. Create an account rule with three rule elements using one for expense type mapping, one for condition of supplier type, and the other one without any condition.
- B. Create two journal line rules with a condition of supplier type.
- C. Create a 30 account combination rule with a condition of expense type.
- D. Create an account rule with 31 rule elements using one condition for each expense type and another for supplier type.
正解:A
質問 # 41
Which three are mandatory transaction source information?
- A. Transaction Number
- B. Distribution Link
- C. Ledger Name
- D. Transaction Date
- E. Transaction Line
正解:A、C、D
質問 # 42
Which two components are used as part of the accounting event model?
- A. Event Object.
- B. Event Category.
- C. Event Type.
- D. Event Class.
正解:C、D
質問 # 43
Which two methods can you use to manage your setup data in the Functional Setup Manager?
- A. Feature-based
- B. Functional Area-based
- C. Implementation Project-based
- D. Role-based
正解:B、C
質問 # 44
A customer has four external systems: Consumer Loan, Auto Loan, Home Loan and Insurance. Functional users are allowed to process and view transactions and accounting for all these systems.
Which two implementations allow similar accountingrules to be shared?
- A. One subledger for the 3 Loan systems and one subledger for Insurance.
- B. One subledger for all 4 source systems.
- C. One subledger for each source system.
- D. One subledger for Consumer Loan and Auto Loan, and one subledger for HomeLoan and Insurance.
正解:A、C
質問 # 45
What are the tables or views from which the CreateAccounting process takes source data that is used in accounting rules to create journal entries referred to as?
- A. Mapping sets
- B. Event entities
- C. Source objects
- D. Transaction objects
正解:B
質問 # 46
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 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 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. Use flexfield
- C. Use custom formulas
- D. Use analytical calculations
正解:C
質問 # 47
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