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1Z0-1054-21 Pre-Exam Practice Tests (Updated 136 Questions) [Q58-Q77]




1Z0-1054-21 Pre-Exam Practice Tests | (Updated 136 Questions)

Valid 1Z0-1054-21 Exam Q&A PDF - One Year Free Update

NO.58 Which reporting tool is best suited for submitting high-volume transactions reports, such as Invoice Registers or Trial Balance reports, that can be configured to extract the data in Rich Text Format or xml?

 
 
 
 

NO.59 The general accountant Is trying to update the cost center for the Default Suspense Account in the Ledger Options to match the cost center for the Rounding Account.
The rounding account is showing as 01-110-7699-00; however, 110 is not appearing in the list of account for the accountant to select in the Suspense Account.
What Is the reason for this?

 
 
 
 

NO.60 You have enabled budgetary control and have a control budget set to Advisory control level. ForSeptember
2016, your budget for a given account combination is $5,000 USD. In the same month, there is an approved requisition for that account of $900 and an approved purchase order for that account of $2,500 USD. There is also a General Ledger adjustment journal entry for that account of $1,600 USD. An approved purchase order line of $400 USD is then cancelled. And an invoice is matched to the purchase order for $2,100 USD. Which two statements are true? (Choose two.)

 
 
 
 
 

NO.61 In the implementation project, there is a requirement to add new transactional attributes to the journal approval notification. Which two Business Intelligence catalog objects should you copy (or customize) and edit?

 
 
 
 
 

NO.62 Your enterprise structure has one ledger and two business units. Business unit one wants to enable budgetary control for Requisitioning only on Procure-to-Pay Business Functions and business unit two wants to enable budgetary control for Payable Invoicing only in Procure-to-Pay Business Functions.
Which two statements are correct? (Choose two.)

 
 
 
 
 
 

NO.63 Your customer requires physical invoices to be generated in Payables Cloud and Receivables Cloud for the Intercompany payables and receivables transactions. Which two statements are correct with regards to setting this up? (Choose two.)

 
 
 
 

NO.64 Identify three roles that get access to the reports in the Fusion Accounting Hub Reporting Cloud Service (FAHRCS). (Choose three.)

 
 
 
 
 

NO.65 You have exported data from your budgeting application into a .csv file.
What should you use to load that data into General Ledger?

 
 
 
 

NO.66 Which tool can you use to create a Financial Income Statement?.

 
 
 
 

NO.67 What are the two possible reasons for encumbrance created on the purchase order to go back to the budget or funds availability? (Choose two.)

 
 
 
 

NO.68 You defined a tree or hierarchy, but you are unable to set its status to Active. What is the reason

 
 
 
 

NO.69 In which two ways can your users customize the Springboards and Work Areas to suit their individual working styles? (Choose two.)

 
 
 
 

NO.70 Your customer wants to create fully balanced balance sheets for the Company, Line of Business, and Product segments for both financial and management reporting. What is Oracle’s recommended method for doing this?

 
 
 
 

NO.71 What is the most efficient way to add a new year to the accounting calendar?

 
 
 
 

NO.72 You need to create a month-end reporting package for an upcoming Audit Committee meeting, you have 10 financial reports that you want to share with executives and auditors that are nicely formatted.
Identify the two Oracle recommended ways to accomplish this. (Choose two.)

 
 
 
 
 

NO.73 You want to achieve multi-step cascading allocations, which feature do you use?

 
 
 
 

NO.74 You want to automatically post journal batches imported form subledger sources to prevent accidental edits or deletions of the subledger sources journals, which could cause an out-of-balance situation between your subledgers and general ledger. Which two aspects should you consider when defining your AutoPost Criteria?
(Choose two.)

 
 
 
 

NO.75 You want to monitor the close process of all your financial subledgers and ledgers. How can you quickly obtain this information?

 
 
 
 

NO.76 Encumbrance accounting is enabled for your ledger. An encumbrance journal dated3/15/19 was recorded for a purchase order.
The invoice was entered on 5/5/19, but the invoice accounting date was 4/20/19. The encumbrance journal for liquidating the purchase order encumbrance is dated 5/5/19.
What is causing this?

 
 
 
 
 

NO.77 Your new accountants have been making mistakes in reconciling accounts assigned to them. Your account balances have either spiked or dropped 30-40% every period due to human error. This causes delays in reconciliation. What feature can you use to be proactively notified of account anomalies in a more timely manner?

 
 
 
 

Oracle Financials Cloud: General Ledger 2021 Implementation Essentials Free Update Certification Sample Questions: https://www.testkingfree.com/Oracle/1Z0-1054-21-practice-exam-dumps.html 1

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