[2025年09月] 今すぐダウンロード!リアル Oracle 1z0-1060-24 試験問題集テストエンジン試験問題 [Q19-Q36]

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[2025年09月] 今すぐダウンロード!リアルOracle 1z0-1060-24試験問題集テストエンジン試験問題

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質問 # 19
Which duty role is required to authorize access to the import accounting transactions process?

  • A. Accounting Hub Import duty role
  • B. Accounting Hub Integration duty role
  • C. Accounting Hub Create Accounting duty role
  • D. Accounting Hub Create and Post Journal Entry duty role

正解:B


質問 # 20
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?

  • A. Drill to Account Inspector
  • B. Drill to Detail Balances
  • C. Drill to Account Group
  • D. Drill to Financial Reporting Center

正解:B、D


質問 # 21
A banking organization is currently using different transaction systems for various types of loans, including vehicle loans, personal loans, education loans, and housing loans. You have been appointed as a consultant to implement Accounting Hub Cloud.
Which THREE points should you remember while registering the source system for the organization?

  • A. A transaction type and its associated transaction data typically relate to a single document of transaction
  • B. Use separate subledgers to provide more security across applications
  • C. Summarized Transaction type information cannot be sent for accounting transformation
  • D. Use separate subledgers to ensure less data processing in each run
  • E. Use separate subledgers to share sub-ledger accounting rules

正解:A、B、D


質問 # 22
Which is an alternate way to implement a mapping set rule?

  • A. Define a flexfield rule with conditions
  • B. Define an account rule with conditions
  • C. Define a chart of account rule with conditions
  • D. Define a lookup type rule with conditions

正解:B


質問 # 23
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?

  • A. When online accounting is submitted from the transaction pages
  • B. When the Multiperiod Accounting process is submitted
  • C. When the Create Accounting process is submitted in Final and Post modes
  • D. When accounting is transferred outside of Fusion General Ledger

正解:A、B、C


質問 # 24
Your customer has four external systems to manage their home loan, auto loan, consumer loan, and personal loan businesses. They decide to implement Accounting Hub to import their transactional data for generating journal entries from these source systems. While evaluating different possibilities, they ask for your suggestion about the sharing of accounting rules for these external systems.
Which implementation setup allows the sharing of accounting rules for all four external systems?

  • A. One subledger for all four source systems
  • B. Two subledgers; one for home loan and auto loan and another for consumer loan and personal loan.
  • C. Three subledgers; one for home loan and auto loan, second for consumer loan, and third for personal loan
  • D. Four subledgers; one for each source system

正解:A


質問 # 25
Your client, a banking organization, has operations in the USA, the UK, France, Japan, and Singapore. As an implementation consultant, you ask the project team to maintain a global chart of accounts. However, the management team in the UK does not agree to allow the generation of dynamic code combinations for the chart of accounts values.
What solution would you propose to address this scenario?

  • A. Define two chart of accounts structure instances. Enable dynamic inserts for the first structure instance and disable it for the second one. Assign the first chart of accounts structure instance to the USA, France, Japan, and Singapore ledgers and the second chart of accounts structure instance to the UK ledger.
  • B. Define two charts of accounts structures. Enable dynamic inserts for the first structure and disable it for the second one. Assign the first structure to the USA, France, Japan, and Singapore ledgers and the second structure to the UK ledger.
  • C. Define one chart of accounts structure and enable dynamic inserts for the USA, France, Japan, and Singapore at the ledger options level, but disable it for the UK ledger
  • D. Define one chart of accounts structure and disable dynamic inserts for the UK ledger by using the "Allow Dynamic Inserts" profile option

正解:D


質問 # 26
Which statement is true about journal entry rule sets?

  • A. Description rules can be assigned at both the header and the line level of a journal entry rule set.
  • B. Description rules can be assigned only at the line level of a journal entry rule set.
  • C. Description rules can be assigned only at the header level of a journal entry rule set.

正解:A


質問 # 27
You are designing an income statement report with the help of Financial Reporting Studio. You add row numbers 3, 4, and 5 to reflect the balances for three different expense accounts and row number 6 to reflect the sum of row numbers 3, 4, and 5.
Which formula should be used on row number 6 to calculate the sum?

  • A. [3;5][3;5][3;5]
  • B. 3:5{3:5}3:5
  • C. [3:5][3:5][3:5]
  • D. [3,5][3,5][3,5]

正解:C


質問 # 28
Your client is involved in the sale of health, vehicle, and home insurance services. Currently, they process their transactions in a source system. You have been appointed as a consultant to implement Accounting Hub Cloud and standardize their accounting process. You decide to register their source system as a single application in Accounting Hub Cloud.
How many event classes will be generated by the system while registering the source system?

  • A. Two
  • B. Three
  • C. One
  • D. Four

正解:C


質問 # 29
You are tasked with troubleshooting a Create Accounting error.
What is the first step you need to take to use the Diagnostics Framework features?

  • A. Run the Accounting Events Diagnostic report
  • B. Set the "SLA: Enable Diagnostic" profile option
  • C. Run Create Accounting again to generate journal entries for the events that ended in error
  • D. Submit the Accounting Event Diagnostics process

正解:B


質問 # 30
You are explaining to an accountant that account override is an adjustment feature of subledger accounting.
Which two traits can help you explain this?

  • A. It enables users to record a reason for the adjustment
  • B. It is intended to correct only the subledger journals that have been posted
  • C. It adjusts the original source transaction
  • D. It provides an audit trail by preserving the original subledger journal entry

正解:A、D


質問 # 31
Your client has implemented the Accounting Hub Cloud solution. They import their transaction data from the source system on a daily basis, and while doing so, some transactions are not being accounted properly. They want these invalid transactions purged and the correct transactions re-imported.
Which job would you submit to purge the invalid transactions?

  • A. Set Accounting Hub Maintenance Job with Mode set to Purge Invalid or Unaccounted Transactions
  • B. Purge Accounting Hub Transactions Job
  • C. Purge Invalid and Unaccounted Accounting Hub Transactions Job
  • D. Import Accounting Transactions Job with Purge Invalid Transaction parameter set to "Yes"

正解:A


質問 # 32
Your client decides to:
Configure a primary ledger for local statutory reporting requirements and a secondary ledger to manage alternative accounting requirements.
Use Financial Reporting Studio to manage the financial reports that leverage the cube connections.
They are seeking your advice to understand the cubes that the system creates to store the balances for these two ledgers.
Based on which unique combination of ledger components are the cube connections generated?

  • A. Convention and Currency
  • B. Calendar and Currency
  • C. Chart of Account and Convention
  • D. Chart of Account and Currency
  • E. Chart of Accounts and Calendar

正解:E


質問 # 33
Where do you define the currency conversion type to be used in converting accounted amount for reporting currency ledger?

  • A. Manage Subledger Accounting Options
  • B. Manage Reporting Currencies
  • C. Specify Ledger Options
  • D. Manage Accounting Attribute Assignments

正解:B


質問 # 34
Your client, a banking organization, is currently using different transaction systems for different types of loans including vehicle loans, personal loans, education loans, and housing loans. You recently uploaded the source system data that includes Loan Origination, Loan Interest Accrual, Loan Scheduled Payment, Loan Interest Adjusted, Loan Late Payment, and Loan Charge off as event types.
The customer now asks you to add another transaction type called Loan Interest Accrual Reversal.
What should be your response to the customer?

  • A. A new transaction type cannot be added after the source system is registered
  • B. Loan Interest Accrual Reversal can be added as a new event type from the user interface
  • C. The source system should be registered again by including the Loan Interest Accrual Reversal event type
  • D. Loan Interest Accrual Reversal can be added as a new event type by using the update spreadsheet template

正解:B


質問 # 35
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 China
  • C. Standard Accrual with Encumbrances
  • D. Standard Accrual for Japan
  • E. Standard Accrual for USA

正解:A、B、C


質問 # 36
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