Free 1z0-1060-25 Sample Questions and 100% Cover Real Exam Questions (Updated 84 Questions) [Q41-Q60]

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Free 1z0-1060-25 Sample Questions and 100% Cover Real Exam Questions (Updated 84 Questions)

Download Real Oracle 1z0-1060-25 Exam Dumps Test Engine Exam Questions

NEW QUESTION 41
Which TWO options can you use for reconciling subledger journal entries with the source system?

 
 
 
 

NEW QUESTION 42
You are implementing Accounting Hub for one of your client organizations in the US. The organization has two legal entities, loans and insurance. Both the legal entities have agreed to share the same chart of accounts and convention. However, the loans legal entity will use the January to December calendar, while the insurance legal entity will use the July to June calendar.
How many primary ledgers will you create to achieve this requirement?

 
 
 
 

NEW QUESTION 43
In Functional Setup Manager, if setup data is segmented by a specific context, you can perform the setup task iteratively, such as assigning different ledger options to different primary ledgers.
Which action should you take to specify the context?

 
 
 
 

NEW QUESTION 44
Your company is part of the financial services industry and manages various types of transactions, such as Notional Amount on Trade Positions, Premium Amount, Premium Settlement, and Premium Sweep in their source system. While analyzing their source transaction system, you are asked to propose an event model, based on the activities performed by the company.
According to your analysis, what should the Notional Amount on Trade Positions, Premium Amount, Premium Settlement, and Premium Sweep transactions be defined as while registering the source system?

 
 
 
 

NEW QUESTION 45
Which predefined role allows a user to manage the period close activities in the General Ledger (GL) application?

 
 
 
 

NEW QUESTION 46
Challenge 4: Manage Description Rule
TASK
Create Description Rule
Subledger Application: AHC Billing
Process Category: AHC Billing
Event Class: AHC Billing
Event Type: Customer Billing, Customer Pay In, Customer Refund, Customer Settlement See the Explanation below for all the solution.

NEW QUESTION 47
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?

 
 
 
 

NEW QUESTION 48
You have recently created an analysis to review periodic revenue amounts using Smart View. Your customer wants to use the drill-through option to get more details about the balances appearing in the analysis.
Which two drill-through options are available for use?

 
 
 
 

NEW QUESTION 49
Your new Oracle Fusion Cloud customer has a reporting requirement to balance general ledger journals not only between companies (primary balancing segments and Legal Entities) but also within divisions. The proposed chart of account structure has the following nine segments:
Company-Division-Department-Account-Subaccount-Product-Intercompany-Future1-Future2 Which segment label should be selected on Division to achieve the reporting requirement?

 
 
 
 
 

NEW QUESTION 50
The Insurance for Homes company provides home insurance services in the USA, the UK, France, and Italy.
It is headquartered in the USA. The entities in the UK, France, and Italy are subsidiaries of the USA entity.
The company decides to configure four primary ledgers, one each for the USA, the UK, France, and Italy. It also plans to configure three secondary ledgers under the UK, France, and Italy primary ledgers.
Which TWO statements are true about setting up secondary ledgers?

 
 
 
 

NEW QUESTION 51
Which is an alternate way to implement a mapping set rule?

 
 
 
 

NEW QUESTION 52
The cloud client wants to drive an efficient transfer of accounting entries between Subledger Accounting and their General Ledgers. Hence, they are skipping the Post Subledger Journal Entries and Journal Import processes.
Under what three conditions are the improvements to transfer of Subledger Accounting entries to General Ledger enhancement ignored?

 
 
 
 

NEW QUESTION 53
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?

 
 
 
 

NEW QUESTION 54
The Unified Migration option helps move functional setup data from one instance to another.
Which TWO statements are true about Unified Migration?

 
 
 
 

NEW QUESTION 55
Which transaction source is used to link transaction header and line information?

 
 
 
 

NEW QUESTION 56
Which FOUR actions can you perform with the help of the Security Console?

 
 
 
 
 
 

NEW QUESTION 57
Your client has operations in both the US and the UK. They currently use a third-party billing system to process transactions, such as Complete an Invoice, Record a Payment, Record Late Charges, and Recognize Revenue. You are part of the implementation team for the Accounting Hub solution. Your client wants to retrieve chart of accounts values for the line of business segment based on customer classification.
You decide to use the mapping sets functionality to fulfill this requirement.
Which THREE statements are true about using mapping sets?

 
 
 
 
 

NEW QUESTION 58
Which statement is true about journal entry rule sets?

 
 
 

NEW QUESTION 59
Which TWO privileges are recommended while enabling Audit History on several key business objects?

 
 
 
 

NEW QUESTION 60
Your customer wants to be alerted to changes in the balances of their key General Ledger accounts on a regular basis and asks your advice on the best reporting option.
Which reporting tool would you suggest?

 
 
 
 

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