Oracle 1z0-1060-25 시험 개요:
| 인증 벤더: | Oracle |
| 시험명: | Oracle Accounting Hub Cloud 2025 구현 전문가 |
| 시험 번호: | 1Z0-1060-25 |
| 실제 시험 문항 수: | 55 |
| 응시료: | USD $245 |
| 자격증 유효 기간: | 제품 버전이 지원 종료될 때까지 |
| 관련 자격증: | Oracle Accounting Hub Cloud 2025 인증 구현 전문가 - 델타 |
| 합격 점수: | 70% |
| 지원 언어: | English |
| 시험 시간: | 90 minutes |
| 시험 형식: | 객관식, 실무 기반 / 실습 과제 |
| 권장 교육: | 재무 관리 - Accounting Hub 구현 전문가 인증 과정 |
| 시험 등록: | Oracle University Pearson VUE |
| 샘플 문제: | Oracle 1z0-1060-25 샘플 문제 |
| 응시 방법: | 온라인 감독 시험 또는 공인 시험 센터에서의 대면 시험 |
| 전제 조건: | 필수 선수 요건 없음; Oracle Fusion Cloud 재무 관리, 회계 원칙 및 보조원장 개념에 대한 실무 경험 권장 |
| 공식 요강 URL: | https://education.oracle.com/products/trackp_OAHC25OCP |
Oracle 1z0-1060-25 시험 요강 주제:
| 섹션 | 비중 | 목표 |
|---|---|---|
| 보조원장 회계 구성 | 30% | - 회계 방식 및 규칙 설정
|
| 회계 및 보고 | 20% | - 보고 도구 및 결과물
|
| 구현 모범 사례 및 유지 관리 | 10% | - 유지 관리 및 문제 해결
|
| 원본 시스템 통합 및 데이터 관리 | 25% | - 데이터 업로드 및 유효성 검증
|
| Accounting Hub 개요 및 아키텍처 | 15% | - 일반적인 Fusion Cloud 애플리케이션 기능
|
최신 Oracle Financials Cloud 1z0-1060-25 무료샘플문제
1. Oracle Transactional Business Intelligence enables developers and end users to create meaningful analyses and reports by eliminating the need for SQL skills.
Which THREE tools can be used by developers and end users, while working with Oracle Transactional Business Intelligence?
A) BI Mobile App Designer
B) BI Drive
C) BI Composer
D) BI Answers
E) BI Publisher
2. You are implementing Accounting Hub Cloud for one of your clients. Your client has agreed to have six segments for the chart of accounts: Company, Line of Business, Account, Department, Product, and Intercompany.
For one of the journal line rules, your client requests you to assign a common account rule for Company, Line of Business, Account, and Intercompany. However, for Department and Product, they want to use segment- specific rules.
How will you achieve this while setting up the journal entry rule set?
A) Assign Common Account Rule to all the segments and create overriding rules for the Department and Product segment while creating the accounting method
B) Assign Common Account Rule in the Account Combination rule field and assign Department and Product segment rules in the segment rules section
C) Assign Common Account Rule to all the segments and create overriding rules for the Department and Product segment while creating the supporting references
D) Assign Common Account Rule to all the segments and create overriding rules for the Department and Product segment while assigning the accounting method to the ledger
3. The company 'Insurance for Homes' provides home insurance services. It has an in-house system that processes home insurance payments received from customers. The end result of the process consists of a list of individual journal entries in a spreadsheet. The company wants to get all journal entries in a secure and auditable repository. Access will be limited to a select few staff members. Additionally, these staff members will need to be able to report and view the entries using an advanced reporting and analytical tool for slicing and dicing the journal entries.
Insurance premium is to be recognized as income across the coverage period of the insurance policy.
Which types of journal lines need to be set up to generate recurring journal entries for insurance premium in each accounting period?
A) Multiperiod and Recognition
B) Reversal and Recognition
C) Deferral and Recognition
4. Your client decides to implement Accounting Hub along with other Oracle-owned subledgers. They want to know about the predefined accounting methods that Oracle provides.
Which of the following THREE are predefined accounting methods?
A) Standard Accrual
B) Standard Accrual for Japan
C) Standard Accrual with Encumbrances
D) Standard Accrual for China
E) Standard Accrual for USA
5. Your client provides loans to its customers. You are appointed as a consultant to implement Accounting Hub Cloud to standardize the accounting process. Your customer wants to retrieve the segment values for the debit and credit side of journal entries based on different criteria.
You decide to create a mapping set to retrieve the value of the cost center segment based on loan type as an input source. Your client wants the values to be validated from a list while creating the input and output mappings.
Which TWO options allow the validation of input values on mapping sets?
A) Segment values
B) Value sets
C) Chart of accounts segment
D) Lookup types
질문과 대답:
| 질문 # 1 정답: A,C,D | 질문 # 2 정답: B | 질문 # 3 정답: C | 질문 # 4 정답: A,C,D | 질문 # 5 정답: B,D |














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