Oracle Utilities Customer Cloud 1z0-996-22 最新問題集 2024年08月04日 に更新されました [Q16-Q37]

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Oracle Utilities Customer Cloud 1z0-996-22最新問題集で2024年08月04日

2024年最新の問題をマスター!Oracle Utilities Customer Cloud合格目指そう!1z0-996-22リアル試験問題集!

質問 # 16
How many devices can be installed at a service point at an instance in time?

  • A. exactly one device
  • B. one for each measuring component
  • C. one for each service type
  • D. up to three devices

正解:A

解説:
According to the Oracle Utilities Customer Cloud Service User Guide1, service points are physical locations at which a company supplies service and are used to store information describing the type of service supplied and how it is measured. Devices are installed at service points, and the relationship between individual service points and devices can change over time. However, a service point may only have one device. If multiple devices at a service point are required, a parent and child service point relationship must be defined to create a hierarchy of service points. On each service point, users can specify a parent service point. This feature can be used to link multiple devices to a single market service point ID or to represent different service types or measuring components at a service point. References: Oracle Utilities Customer Cloud Service - Get Started, About Service Points, Oracle Utilities Operational Device Cloud Service - Get Started


質問 # 17
Which two are "Are SP and Device Ready?" state algorithms for Enable Service? (Choose two.)

  • A. Create Service Point
  • B. Start Service Agreement
  • C. Create Usage Subscription
  • D. Check for Measurement
  • E. Customer Device Compatibility Check

正解:D、E


質問 # 18
How many service agreements are linked to a severance process?

  • A. any number defined by the business user
  • B. all service agreements that are connected to the initiating overdue process
  • C. all service agreements that are connected to the initiating collection process
  • D. one
  • E. zero - accounts are linked to severance processes

正解:A


質問 # 19
Your customer's initial measurement data (IMD) has been imported and can be viewed through the Measuring Component portal, but is not in the "Final" measurement status.
What can you assume that the IMD has passed?

  • A. Critical Validation
  • B. High/Low Check Validation
  • C. Critical Validation, High/Low Check Validation, and Sum Check Validation
  • D. Sum Check Validation
  • E. Multiplier Check Validation

正解:E


質問 # 20
A usage subscription must exist before usage transactions can be calculated for a specific service point.
Where do you configure the usage recipient?

  • A. in the Service Point Type
  • B. in the Usage Rule Type
  • C. in the Usage Subscription Type
  • D. in the Device Type
  • E. in the Measuring Component Type

正解:C

解説:
A usage subscription defines the relationship between a service point and a usage recipient, such as a service provider or a billing system1. A usage subscription must exist before usage transactions can be calculated for a specific service point2. The usage recipient is configured in the usage subscription type, which is a template for creating usage subscriptions3. The usage subscription type specifies the default usage recipient, the usage rule type, the usage subscription status, and other attributes for the usage subscriptions of that type3. References:
1: Usage Subscriptions
2: Usage Transactions
3: Usage Subscription Types


質問 # 21
What contains the details of how a bill was calculated and how it will be printed on a bill?

  • A. Service Agreement
  • B. Bill Segments
  • C. Rate Schedule
  • D. Bill
  • E. Calculation Rules

正解:B


質問 # 22
What can cause multiple bill lines for a rate component to be produced in a bill calculation header?

  • A. changes in Rate Schedule and Bill Factor
  • B. changes in Rate Version Calculation Group and Bill Factor
  • C. change in Rate Version Calculation Group
  • D. change in Rate Schedule
  • E. change in Bill Factor

正解:A


質問 # 23
How do you ensure that specific Validation, Editing, and Estimation (VEE) rules are applied to estimated measurements?

  • A. by adding the VEE Group to the Device Type
  • B. by adding the estimation rules to the Manual Override VEE Group to the Measuring Component Type
  • C. by adding the VEE Group to the Device Configuration Type
  • D. by adding the VEE Group as the Fallback VEE Group for the appropriate VEE role

正解:B


質問 # 24
How many bill segment-related financial transactions do pay plans have?

  • A. unlimited
  • B. depends on the number of payments that is part of the pay plan
  • C. none
  • D. one
  • E. depends on the number of bills that will contain the customer's pay plan commitments

正解:E


質問 # 25
There has been a meter exchange at a service point in the past year.
How many installation events exist for the service point for the past year?

  • A. Three
  • B. None
  • C. Four
  • D. One
  • E. Two

正解:D


質問 # 26
New: An electric utility is starting an Advanced Meter Infrastructure (AMI) roll-out for their residential customers. The initial plan is to roll out devices from their manufacturer with potentially three different device models. The customer has not decided what head-end systems they will use to communicate with these devices. Based on the customer's initial roll-out strategy, the devices will haveto be configured consistently to support existing tariffs for billing.
Which is a valid consideration to determine the setup of device type administrative data for this implementation?

  • A. the device's date of manufacturer
  • B. billing usage rules
  • C. valid head-end systems, valid device configuration types, and the electricity service type
  • D. the model number

正解:C

解説:
Device types define information about a class of devices, including properties that apply to all devices of a type1. For the AMI roll-out, the device type administrative data should consider the following aspects:
Valid head-end systems: A head-end system is a system that communicates with devices and collects measurement and event data from them2. The device type should specify a fallback head-end system and a list of valid head-end systems that can be used for the devices of that type1. This will allow the customer to choose the head-end system that best suits their needs and preferences.
Valid device configuration types: A device configuration type defines the configuration parameters and commands that can be applied to a device of a certain type3. The device type should specify the valid list of device configuration types that can be used for the devices of that type1. This will ensure that the devices are configured consistently and correctly to support the existing tariffs for billing.
Electricity service type: A service type defines the characteristics of a service that is provided to a customer, such as the commodity, the rate schedule, the bill cycle, etc4. The device type should specify the electricity service type that is associated with the devices of that type1. This will enable the system to calculate the usage and billing for the devices based on the service type. References:
1: Understanding Device Types
2: Head End Systems
3: Device Configuration Types
4: Service Types


質問 # 27
The base package usage transaction business object is represented by D2-UsageTransaction. The usage calculation engine or process drives the specifics of the usage to be calculated on this business object.
Based on this, which three configuration areas will have an impact on the usage calculation process? (Choose three.)

  • A. TOU map
  • B. Usage Rule
  • C. Factor Override
  • D. VEE rule

正解:A、B、C


質問 # 28
Which three statements are true in relation to Financial Transaction creation algorithms? (Choose three.)

  • A. They control when a Financial Transaction is to be swept onto a bill.
  • B. They control how the payoff balance is affected.
  • C. They control if and how the General Ledger entries are created.
  • D. They control how the current balance is affected.
  • E. They control howthe General Ledger details are created as these must always exist against a Financial Transaction.

正解:B、C、D

解説:
In Oracle Utilities Customer Cloud Service, Financial Transaction creation algorithms play a pivotal role in the financial processes. The correct answers are:
They control how the payoff balance is affected (Option A): These algorithms can determine the way in which financial transactions impact the payoff balance of a customer's account.
They control if and how the General Ledger entries are created (Option D): Financial Transaction creation algorithms can dictate the creation of General Ledger entries, which are essential for accurate financial accounting and reporting.
They control how the current balance is affected (Option E): The algorithms have a direct influence on how financial transactions impact the current balance of a customer's account.
These algorithms are vital for ensuring that financial transactions are processed correctly and reflect accurately in various financial reports and customer account balances62†source63†source64†source65†source.
References:
Oracle documentation on Financial Transaction - FT Process: Financial Transaction - FT Process62†source.
Oracle documentation on An Overview of the Bill Creation Process: An Overview of the Bill Creation Process63†source.
Oracle documentation on Algorithms: Algorithms64†source.
Oracle documentation on Algorithms in Customer Care and Billing Cloud Service:
Algorithms65†source.


質問 # 29
If a customer makes a payment for more than what is due for the account, which entity contains the logic for how this overpayment should be handled?

  • A. Installation Options
  • B. Customer Class
  • C. Pay Segment Type
  • D. Service Agreement Type
  • E. Tender Type

正解:A、B、D


質問 # 30
Your client has three requirements:
1. Apply validations on meter reads coming from the Data Collectors.
2. If a meter read does not pass the validation, an error will be generated and assigned to a user.
3. Retry the validation every 30minutes for the errors in case the issue is related to configuration.
Which statement describes the base functions you should use?

  • A. If a To Do entry is created on the VEE exception, the user will need to discard the IMD and a new IMD will be manually loaded.
  • B. If a To Do entry is created on the VEE exception, the IMD's Next Retry Date/Time is set to 30 minutes, and then processed by the algorithm D1-IMD-RETRY (Retry Initial Measurement Data Processing)
  • C. If a To Do entry is created on the VEE exception, the user will need to discard the IMD and a new IMD will be loaded after 30 minutes.
  • D. If a To Do entry is created on the VEE exception, the IMD's Next Retry Date/Time is set to 30 minutes, andthen processedby the algorithm D1-COMP-TD (Complete To Do Entries).
  • E. If a To Do entry is created on the VEE exception, the IMD's Next Retry Date/Time is set to 30 minutes, and then processed by the algorithm D1-CRE-IMDTD (Create To Do)

正解:B

解説:
The base functions that you should use to meet your client's requirements are the following:
Apply validations on meter reads coming from the Data Collectors: You can use the Oracle Utilities Meter Data Management (MDM) Cloud Service to perform validation, editing, and estimation (VEE) on the initial measurement data (IMD) that is loaded from the Head End system or other source. MDM has a set of predefined VEE rules that can be configured and customized to check the accuracy and completeness of the meter reads. You can also define your own VEE rules using the VEE Rule Maintenance feature. MDM applies the VEE rules to the IMD based on the VEE Group and the VEE Execution Type that are associated with the device configuration and the service point. MDM also supports manual VEE for users to review and edit the IMD.
If a meter read does not pass the validation, an error will be generated and assigned to a user: You can use the To Do feature to create and assign tasks for users to resolve the VEE exceptions that are generated when the IMD fails the validation. You can configure the system to automatically create a To Do entry for each VEE exception or for a group of VEE exceptions based on the To Do Creation Algorithm on the VEE Rule. You can also specify the To Do Type, the To Do Status, the To Do Priority, and the To Do Assignee for the To Do entry. The To Do entry will contain the details of the VEE exception, such as the IMD ID, the VEE Rule ID, the VEE Group ID, and the VEE Execution Type ID. The user can access the To Do entry from the To Do List or the 360 Degree View device portal and take the appropriate action to correct the IMD or the VEE rule.
Retry the validation every 30 minutes for the errors in case the issue is related to configuration: You can use the IMD Retry feature to automatically reprocess the IMD that has VEE exceptions after a specified interval. You can configure the system to set the Next Retry Date/Time on the IMD to 30 minutes after the VEE exception is generated. You can also specify the Maximum Number of Retries and the Retry Interval Algorithm on the VEE Rule. The system will run the algorithm D1-IMD-RETRY (Retry Initial Measurement Data Processing) periodically to identify the IMD that has a Next Retry Date/Time that is less than or equal to the current date and time. The algorithm will then reapply the VEE rules to the IMD and update the VEE results. If the IMD passes the validation, the VEE exception and the To Do entry will be cleared. If the IMD still fails the validation, the Next Retry Date/Time will be updated and the To Do entry will remain open until the user resolves the issue or the maximum number of retries is reached. References: Oracle Utilities Meter Data Management Overview, VEE Rule Maintenance, [To Do], [IMD Retry]


質問 # 31
Throughout its lifecycle, an asset's disposition changes as it is moved between locations and service statuses.
Which are valid asset dispositions?

  • A. Receiving; Installed; Storage; Retired
  • B. Receiving; In Field; Storage; Retired
  • C. In Receipt; Installed; In Stores; Retired
  • D. In Receipt; In Field; In Stores; Retired

正解:D


質問 # 32
Using a base-supplied algorithm type, what is payment distribution priority typically determined by?

  • A. Customer Class and Service Agreement Type
  • B. Customer Class and Debt Age
  • C. Service Agreement Type's Priority and Debt Age
  • D. Payment Type + Debt Age
  • E. Debt Age

正解:C

解説:
The base-supplied algorithm type for payment distribution is called Payment Distribution - Pay Priority and Debt Age (PYDIST-PPRTY). This algorithm distributes a payment based on the age of each service agreement's debt and the payment distribution priority of each service agreement's type. The algorithm first pays off the delinquent debt of the highest priority service agreements, then the non-delinquent debt, and finally the new debits debt. If multiple service agreements have the same distribution priority, the algorithm distributes the payment proportionally based on the age of the respective debt on each service agreement. References: Distributing A Payment Amongst An Account's Service Agreements, An Overview Of The Payment Event Creation & Allocation Process


質問 # 33
Which two statements about usage subscription types are correct? (Choose two.)

  • A. Usage subscription types define the main billing contact.
  • B. Usage subscription types define the valid service point types.
  • C. Usage subscription types define the recipient of the usage.
  • D. Usage subscription types define the time zone.

正解:B、C

解説:
Usage subscription types are used to define the types of usage that can be stored for a service point, such as consumption, demand, or generation. Usage subscription types have the following attributes:
Valid Usage Recipients: A list of usage recipients for which this usage subscription type is applicable. A usage recipient is an entity that receives usage from a service point, such as a customer, a utility, or a third party.
Valid Service Point Types: A list of service point types for which this usage subscription type is applicable. A service point type is a classification of service points based on their characteristics, such as metered, unmetered, or virtual.
Valid Usage Calculation Groups: A list of usage calculation groups for which this usage subscription type is applicable. A usage calculation group is a collection of usage calculation types that define how usage is calculated, such as interval, register, or profile.
Valid Dynamic Option Types: A list of dynamic option types for which this usage subscription type is applicable. A dynamic option type is a type of option that can be used to modify the usage calculation process, such as estimation, editing, or aggregation.
Therefore, usage subscription types define the valid service point types and the recipient of the usage, but not the main billing contact or the time zone. References:
Usage Subscription Types
Understanding Usage Subscription Types
Configuring Usage Subscription Types


質問 # 34
Your customer's initial measurement data (IMD) has been imported and can be viewed through the Measuring Component portal, but is not in the "Final" measurement status.
What can you assume that the IMD has passed?

  • A. High/Low Check Validation
  • B. Critical Validation
  • C. Multiplier Check Validation
  • D. CriticalValidation, High/Low Check Validation, and Sum Check Validation
  • E. Sum Check Validation

正解:B

解説:
Initial measurement data (IMD) is the raw data that is received from external systems and processed by the system to create final measurements for billing and analysis. IMD goes through two major stages of processing: IMD Seeder and Specific IMD. The IMD Seeder is the common interface point that receives all IMD information and performs critical validations and conversions. The critical validations include checking the validity of the device and measuring component identifiers, the date and time format, the unit of measure, and the measurement status. If the IMD passes the critical validations, it is sent to the appropriate specific IMD business object for further processing. The specific IMD business object performs additional validations and calculations based on the type and category of the IMD. These validations include multiplier check, high/low check, sum check, and VEE rules. If the IMD passes all the validations and calculations, it is marked as "Final" and the final measurements are created. Therefore, if the IMD is not in the "Final" measurement status, it means that it has passed the critical validation, but not the other validations and calculations. References: Processing Initial Measurement Data, Initial Measurement Data, Configuring the Initial Measurement Algorithms


質問 # 35
Approval Profiles control which aspects of an Adjustment?

  • A. information defaulted on an Adjustment
  • B. control how adjustments are approved
  • C. whether current and/or payoff balance are affected by the adjustment
  • D. whether the adjustment should appear on the customer's next bill
  • E. if an adjustment requires approval before it's frozen

正解:C

解説:
Reference:
%20Adjustment%20Approval.pdf


質問 # 36
What correctly describes the possible causes of price proration?

  • A. change in Rate Version Calculation Group only
  • B. change in Rate Schedule only
  • C. change in Bill Factor only
  • D. changes in Rate Schedule and Bill Factor only
  • E. changes in Rate Version Calculation Group and Bill Factor only

正解:D


質問 # 37
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