최신 Oracle Financials Cloud 1Z0-1060-20 무료샘플문제:
1. How many transaction event classes can be set up for a subledger uploaded to Accounting Hub Cloud?
A) Three
B) Two
C) Unlimited
D) One
2. 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) Add this as a new transaction type into existing registered subledger from the user interface.
B) Register it as a new source system.
C) Change the transaction data file.
D) Add this as a new transaction typo into existing subledger registration spreadsheet template.
3. 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) Create a Smart View report using the query designer feature.
B) Use either Account Monitor or Account Inspector to get required Information.
C) Build a Financial Reporting Studio report that includes all dimensions.
D) Build an OTBI analysis that includes a relevant subject area.
4. What is the key attribute that is used to query journal entries of a registered source system?
A) Ledger Name
B) Transaction Date
C) Journal Source
D) Accounting Date
5. Given the business use case:
'Insurances for Homes' company provides home insurance services. They have an in-house built system that processes 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, the company need to be able to report and view the entries using advanced reporting and analytical tools for segmenting, viewing and understanding data in the journal entries.
The line information may contain more than one line for the same header.
When uploading transactions, which is a way to differentiate each Journal line?
A) Assign a line classification or line type attribute.
B) Assign a custom formula.
C) Assign an accounting attribute.
D) You do not need to do anything additional.
질문과 대답:
| 질문 # 1 정답: D | 질문 # 2 정답: A,B | 질문 # 3 정답: D | 질문 # 4 정답: C | 질문 # 5 정답: A |














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