1z0-342試験対策書 資格取得

また、NewValidDumpsのOracleの1z0-342試験対策書試験トレーニング資料が信頼できるのは多くの受験生に証明されたものです。NewValidDumpsのOracleの1z0-342試験対策書試験トレーニング資料を利用したらきっと成功できますから、NewValidDumpsを選ばない理由はないです。試験の準備をするためにNewValidDumpsのOracleの1z0-342試験対策書試験トレーニング資料を買うのは冒険的行為と思ったとしたら、あなたの人生の全てが冒険なことになります。 ほかの人はあなたの成績に驚いているとき、ひょっとしたら、あなたはよりよい仕事を探しましたかもしれません。地下鉄でほかの人はぽかんと座っているとき、あなたはPadまたはスマホでPDF版のOracleの1z0-342試験対策書試験の資料を読むことができます。 真剣にNewValidDumpsのOracle 1z0-342試験対策書問題集を勉強する限り、受験したい試験に楽に合格することができるということです。

JD Edwards Financial Management 1z0-342 早速買いに行きましょう。

次のジョブプロモーション、プロジェクタとチャンスを申し込むとき、Oracle 1z0-342 - JD Edwards EnterpriseOne Financial Management 9.2 Implementation Essentials試験対策書資格認定はライバルに先立つのを助け、あなたの大業を成し遂げられます。 それは正確性が高くて、カバー率も広いです。あなたはNewValidDumpsの学習教材を購入した後、私たちは一年間で無料更新サービスを提供することができます。

つまり1z0-342試験対策書練習問題はあなたの最も正しい選択です。あなたは今やはり1z0-342試験対策書試験に悩まされていますか?長い時間1z0-342試験対策書試験を取り組んいる弊社はあなたに1z0-342試験対策書練習問題を提供できます。あなたは1z0-342試験対策書試験に興味を持たれば、今から行動し、1z0-342試験対策書練習問題を買いましょう。

Oracle 1z0-342試験対策書復習教材は有効的な資料です。

我々の承諾だけでなく、お客様に最も全面的で最高のサービスを提供します。Oracleの1z0-342試験対策書の購入の前にあなたの無料の試しから、購入の後での一年間の無料更新まで我々はあなたのOracleの1z0-342試験対策書試験に一番信頼できるヘルプを提供します。Oracleの1z0-342試験対策書試験に失敗しても、我々はあなたの経済損失を減少するために全額で返金します。

あなたはその他のOracle 1z0-342試験対策書「JD Edwards EnterpriseOne Financial Management 9.2 Implementation Essentials」認証試験に関するツールサイトでも見るかも知れませんが、弊社はIT業界の中で重要な地位があって、NewValidDumpsの問題集は君に100%で合格させることと君のキャリアに変らせることだけでなく一年間中で無料でサービスを提供することもできます。

1z0-342 PDF DEMO:

QUESTION NO: 1
Your client submitted the Annual Close application to close their fiscal year.
When you close a fiscal year, which AAI Items does the system use?
A. GLG4 retained earnings, GLG12 ending profit and loss, and GLG7 year-end close account
B. GLG4 retained earnings, GLG12 ending profit and loss, and the ICCC intercompany account
C. GLG4 retained earnings and GLGxx for all GL accounts
D. GLG4 retained earnings, GLG6 beginning revenue account, and GLG12 ending profit and loss
E. GLG4 retained earnings and FSxx Interim subtotals
Answer: C
Reference: https://docs.oracle.com/cd/E59116_01/doc.94/e58750/cls_fiscal_yr.htm#WEAGA617

QUESTION NO: 2
Which four steps does the system perform when the Credit Reimbursements program
(R03B610) is run in final mode?
A. Creates a receipt in the Receipts Header (F03B13) and Receipts Detail (F03B14) tables to close the selected invoices.
B. Changes the pay status on the invoices to A
C. Creates a voucher in the Accounts Payable Ledger table (F0411) with a document type NO.
D. After posting the receipt batch, the system debits the A/R trade account and credits the suspense account specified by the AA1 item RN.
E. Creates a batch of vouchers (batch type V), which you must post.
F. Creates a batch of receipts {batch type RB), which you must post.
Answer: A,D,E,F
Reference: http://learn-jde.com/generating-credit-reimbursements/

QUESTION NO: 3
Your client has been transferring the location of assets using the Work with Locations application (P12215). In random instances, records with a Location Code of 'H' (Historical) are being created without duration Information.
Why are these records being created?
A. Some of the assets your client is transferring were never recorded at the location where they are being transferred from. The system detects the transfer is out of sequence and automatically creates transfer records with the location code of 'H'.
B. Some of the assets your client is transferring are parent asset records with associated children asset records. Transfer records with a location code of 'H' are automatically created.
C. Your client relocated partial quantities of an asset. Transfer records with a location code of 'H' are automatically created to represent the quantity remaining at the original location.
D. Some of the assets your client transferred have a transfer date later than the current system date.
Transfer records with a location code of 'H' are automatically created.
Answer: C

QUESTION NO: 4
Your client defined an organization report structure assigning category codes to business units for online consolidations. They have run the Organization Structure Build program in proof mode and the report displays the business units that are dynamically created as a concatenation of category codes. Your client is concerned because they have the processing options set to dynamically create business units using next numbering.
After troubleshooting the problem, what message will you relay to your client?
A. The check box for concatenating category codes for new business units was flagged on in the
Organization Structure Definition program (P0050B) for the structure defined by the client. This setting is overriding the processing option in the Organization Structure Build program.
B. The Sequence fields that define where child business units appear under the parent were left blank when the organization structure was defined. These fields must be defined for the Organization
Structure Build program to function as designed.
C. In proof mode, any business units that are dynamically created appear on the report as a concatenation of category codes, regardless of the setting of the BU Creation processing options.
D. The Pseudo Consolidation Company processing option in the Organization Structure Build program was left blank. This processing option points the system to the correct next number by company sequence.
Answer: C

QUESTION NO: 5
How can you prevent automatic write-offs from being created during manual receipt entry?
A. Leave the Apply Invoices processing option blank on the Process tab on the Standard Receipts
Entry (P03B102) program.
B. Set the Maximum Underpayment Amount and Maximum Overpayment Amount fields to 0 (zero) and the Overpayment and Underpayment Reason Codes processing options to blank in the Auto
Write Off tab on the Standard Receipts Entry (P03B102) program.
C. Leave the Overpayment and Underpayment Reason Codes processing options blank In the Auto
Write Off tab on the Standard Receipts Entry (P03B102) program.
D. Set the Maximum Underpayment Amount and Maximum Overpayment Amount processing options to 0 (zero) In the Manual Write Off tab on the Standard Receipts Entry (P03B102) program.
E. Set the Invoice Match processing option to 1 in the tab Match Priority on the Standard Receipts
Entry (P03B102) program.
Answer: D

Cisco 300-430J - 社会と経済の発展につれて、多くの人はIT技術を勉強します。 NewValidDumpsを通じて最新のOracleのSalesforce Mobile-Solutions-Architecture-Designer試験の問題と解答早めにを持てて、弊社の問題集があればきっと君の強い力になります。 あなたにOracle Microsoft MB-700試験に関する最新かつ最完備の資料を勉強させ、試験に合格させることだと信じます。 EC-COUNCIL ECSS - NewValidDumps を選ばれば短時間にITの知識を身につけることができて、高い点数をとられます。 周りの多くの人は全部Oracle Cisco 300-420J資格認定試験にパースしまして、彼らはどのようにできましたか。

Updated: May 28, 2022

1Z0-342試験対策書、1Z0-342対応受験 - Oracle 1Z0-342認定テキスト

PDF問題と解答

試験コード:1z0-342
試験名称:JD Edwards EnterpriseOne Financial Management 9.2 Implementation Essentials
最近更新時間:2024-05-13
問題と解答:全 162
Oracle 1z0-342 日本語版テキスト内容

  ダウンロード


 

模擬試験

試験コード:1z0-342
試験名称:JD Edwards EnterpriseOne Financial Management 9.2 Implementation Essentials
最近更新時間:2024-05-13
問題と解答:全 162
Oracle 1z0-342 無料ダウンロード

  ダウンロード


 

オンライン版

試験コード:1z0-342
試験名称:JD Edwards EnterpriseOne Financial Management 9.2 Implementation Essentials
最近更新時間:2024-05-13
問題と解答:全 162
Oracle 1z0-342 日本語版対応参考書

  ダウンロード


 

1z0-342 必殺問題集