[Q12-Q34] Real 1z0-1060-22 dumps - Real Oracle dumps PDF in here [Jan-2023]

Share

Real 1z0-1060-22 dumps - Real Oracle dumps PDF in here [Jan-2023]

Realistic Test4Sure 1z0-1060-22 Dumps PDF - 100% Passing Guarantee

NEW QUESTION 12
Which four components are created by the source system registration upload process in a single step?

  • A. Event Model
  • B. Transaction Objects
  • C. Journal Source
  • D. Journal Category
  • E. Account Rules
  • F. Description Rules

Answer: A,B,C,D

 

NEW QUESTION 13
Which is used to track a specific transaction attribute on subledger journal entries?

  • A. supporting references
  • B. account rules
  • C. lookup value rules
  • D. value set rules

Answer: A

 

NEW QUESTION 14
Which two methods can you use to manage your setup data in the Functional Setup Manager?

  • A. Role-based
  • B. Functional Area-based
  • C. Implementation Project-based
  • D. Feature-based

Answer: B,C

 

NEW QUESTION 15
Given the subledger journal entry:

Note that the first segment is the primary balancing segment.
Which statement is True regarding this subledger journal entry?

  • A. It is not balanced by entered amounts.
  • B. It appears correct.
  • C. It is notbalanced by balancing segment.
  • D. It is not balanced by entered currency.

Answer: C

 

NEW QUESTION 16
What is a user job role data context assignment?

  • A. Security data access context assignment to a user job role
  • B. Duty role context assignment to a user
  • C. Security privileges assignment to a user job role
  • D. Security data role context assignment to a user job role

Answer: A

 

NEW QUESTION 17
What is "Opt-In," in the context of the Functional Setup Manager?

  • A. It is a step where you will identify the offerings that you want to implement
  • B. It is a step where you enter the setup data necessary for your enabled offerings and functional areas
  • C. It is a step where you can select the offerings, functional areas, and features that best fit your business requirements
  • D. It is a step where you move verified data into the production environment

Answer: B

 

NEW QUESTION 18
What are the tables or views from which the CreateAccounting process takes source data that is used in accounting rules to create journal entries referred to as?

  • A. Mapping sets
  • B. Event entities
  • C. Source objects
  • D. Transaction objects

Answer: B

 

NEW QUESTION 19
Which four of the following are the mandatory parameters to search for a subledger journal on the Review Subledger Journals Page?

  • A. Date
  • B. Transaction Number
  • C. Journal Source
  • D. Status
  • E. Ledger
  • F. Event Type

Answer: A,C,D,E

 

NEW QUESTION 20
What is the maximum length for a name of a transaction type in the Source System Transaction worksheet?

  • A. 30.
  • B. 20.
  • C. 40.
  • D. 25.

Answer: A

 

NEW QUESTION 21
Which two options allow validating input values on mapping sets?

  • A. Value sets
  • B. Segment values
  • C. Lookup types
  • D. Chart of accounts segment

Answer: A,C

 

NEW QUESTION 22
What are the tables or views from which the Create Accounting process takes source data that is used in accounting rules to create journal entries referred to as?

  • A. Mapping sets
  • B. Transaction objects
  • C. Source objects
  • D. Event entities

Answer: B

 

NEW QUESTION 23
Which two statements are true about the Accounting Hub Cloud?

  • A. It brings together disparate accounting systems into a centrally-accessible source of truth
  • B. Integration of information into the Accounting Hub Cloud is restricted to a maximum of three source systems
  • C. It does not allow publishing output files to PeopleSoft General Ledgers
  • D. It has a robust Accounting Engine which allows you to configure accounting rules

Answer: A,D

 

NEW QUESTION 24
Given the journal:

What is the terminology that is used to identify the "Account Number', 'Original Balance' ,and 'Origination Date' fields?

  • A. Attribute Identifier
  • B. Source System Identifier
  • C. User Transaction Identifier
  • D. System Identifier

Answer: C

 

NEW QUESTION 25
Given the subledger journal entry:

Note that the first segment is the primary balancing segment.
Which statement is True regarding this subledger journal entry?

  • A. It is not balanced by entered amounts.
  • B. It is not balanced by balancing segment.
  • C. It appears correct.
  • D. It is not balanced by entered currency.

Answer: B

 

NEW QUESTION 26
To support foreign currency transaction in Accounting Hub, which accounting attributes must be assigned a source?

  • A. Conversiontype and conversion date
  • B. Conversion type
  • C. Conversion type, conversion date and conversion rate
  • D. Conversion date and conversion rate

Answer: C

 

NEW QUESTION 27
Which duty role should be assigned to job role to import transaction data for accounting and posting in General Ledger?

  • A. Accounting Hub Integration.
  • B. General Accounting Function Administration.
  • C. General Accounting Setup Review.
  • D. Accounting Hub Administration.

Answer: A

 

NEW QUESTION 28
Given the business use case:
'New Trucks' runs a fleet of trucks in a rental business In the U.S. The majority of the trucks are owned; however, in some cases, 'New Truck' may procure other trucks by renting them from third parties to their customers. When trucks are leased, the internal source code is 'L'. When trucks are owned, the internal source code is 'O'. This identifies different accounts used for the Journal entry. Customers sign a contract to initiate the truck rental for a specified duration period. The insurance fee is included in the contract and recognized over the rental period. For maintenance of the trucks, the "New Trucks* company has a subsidiary company 'Fix Trucks' that maintains its own profit and loss entity. To track all revenue, discounts, and maintenance expenses, 'New Trucks' needs to be able to view: total maintenance fee, total outstanding receivables, rental payment discounts, and total accrued and recognized insurance fee income.
How do you set up an account rule that is based on leased and owned trucks?

  • A. Set up a value set rule.
  • B. Set up a mapping set rule.
  • C. Set up an account source in the source system file and derive the value.
  • D. Set up a lookup value.

Answer: B

 

NEW QUESTION 29
What is the key attribute that is used to query journal entries of a registered source system?

  • A. Journal Source
  • B. Ledger Name
  • C. Transaction Date
  • D. Accounting Date

Answer: A

 

NEW QUESTION 30
Which statement is true about managing data access for users?

  • A. Data assignments can be made only to users who are assigned to specific duty roles
  • B. Data assignments can be made to all users without a role assignment
  • C. Data assignments can be made only to users who are assigned to specific job roles
  • D. Data assignments can be made only to users who are assigned to specific abstract roles

Answer: C

 

NEW QUESTION 31
Which two components are used by the Approvals Workflow in Oracle Cloud Applications?

  • A. SOA Suite
  • B. OTBI
  • C. Calculation Manager
  • D. BPM Worklist

Answer: A,D

 

NEW QUESTION 32
Which two components are used as part of the accounting event model?

  • A. Event Class.
  • B. Event Object.
  • C. Event Type.
  • D. Event Category.

Answer: A,C

 

NEW QUESTION 33
What is the required date format used to import accounting transactions to Accounting Hub Cloud?

  • A. DD-MON-YYYY
  • B. MM-DD-YYYY
  • C. The user can customize the date format
  • D. YYYY-MM-DD

Answer: D

 

NEW QUESTION 34
......


Oracle 1z0-1060-22 Exam Syllabus Topics:

TopicDetails
Topic 1
  • Explain Functional Setup Manager Offerings, Functional Area and Features, Manage Setup Data, and Export and Import Setup Data
Topic 2
  • Analyze Accounting, Reporting Audit, and Reconciliation Requirements for Transaction Types
  • Describe the Security Console
Topic 3
  • Transaction data and automation with web service
  • Register Source System and PaaS (ICS) integration
Topic 4
  • Manage Transaction Information and Line Information Worksheets and Transaction Objects
  • Manage Journal Entry Rule Sets
Topic 5
  • Analyze configuration requirements related to Legal Entities, Financial Reporting Structures and Ledgers
  • Transaction type life cycle
Topic 6
  • Common Application Configuraitons for Accounting Hub
  • Manage Reporting with Financial Reporting Web Studio
Topic 7
  • Explain Users and Role Based Access Control
  • Manage Reporting with BI Publisher
  • Update Registered Source System
Topic 8
  • Upload transaction data, correct when there are errors, and perform automation with web service
  • Accounting, reporting, audit, and reconciliation requirements
Topic 9
  • Update Registered Source System: accounting attribute assignments, sources, event types
  • Peform Subledger Accounting Diagnostics

 

Verified 1z0-1060-22 dumps Q&As Latest 1z0-1060-22 Download: https://www.test4sure.com/1z0-1060-22-pass4sure-vce.html

Free Oracle 1z0-1060-22 Exam Questions and Answer: https://drive.google.com/open?id=1k4R7XAhytE2MJ9ktY9Y6WA7Qcj2-CSeR