1z0-960関連受験参考書 資格取得

NewValidDumpsは実際の環境で本格的なOracleの1z0-960関連受験参考書「Oracle Financials Cloud: General Ledger 2017 Implementation Essentials」の試験の準備過程を提供しています。もしあなたは初心者若しくは専門的な技能を高めたかったら、NewValidDumpsのOracleの1z0-960関連受験参考書「Oracle Financials Cloud: General Ledger 2017 Implementation Essentials」の試験問題があなたが一歩一歩自分の念願に近くために助けを差し上げます。試験問題と解答に関する質問があるなら、当社は直後に解決方法を差し上げます。 IT認証はIT業種での競争な手段の一つです。認証に受かったらあなたは各方面でよく向上させます。 我々は心からあなたが首尾よく試験に合格することを願っています。

Oracle Financials Cloud 1z0-960 成功の楽園にどうやって行きますか。

Oracle Financials Cloud 1z0-960関連受験参考書 - Oracle Financials Cloud: General Ledger 2017 Implementation Essentials 私の夢は最高のIT専門家になることです。 こうすれば、まだ何を心配しているのですか。心配する必要がないでしょう。

さて、はやく試験を申し込みましょう。NewValidDumpsはあなたを助けることができますから、心配する必要がないですよ。あなたの夢は何ですか。

Oracle 1z0-960関連受験参考書 - まだ何を待っていますか。

NewValidDumpsのOracleの1z0-960関連受験参考書試験トレーニング資料は豊富な経験を持っているIT専門家が研究したものです。君がOracleの1z0-960関連受験参考書問題集を購入したら、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。もしOracleの1z0-960関連受験参考書問題集は問題があれば、或いは試験に不合格になる場合は、全額返金することを保証いたします。

自分自身のIT技能を増強したいか。一回だけでOracleの1z0-960関連受験参考書認定試験に合格したいか。

1z0-960 PDF DEMO:

QUESTION NO: 1
You just submitted the Accounting Configuration. What two things must happen before you can enter journals? (Choose two.)
A. You must define a Data Access Set to obtain full read/write access to the ledgers in the Accounting
Configuration.
B. A Data Access Set with full read/write access to the ledger is automatically created.
C. You must re-deploy the chart of accounts.
D. You must assign the job role and data security context to each user.
Answer: A D

QUESTION NO: 2
While troubleshooting the encumbrance entries created for the requisition for your business unit, you noticed that only a few events are triggering the encumbrance journals when you submit he create accounting program.
What are the two events?
A. Funds check
B. Requisition approved
C. Requisition rejected by the buyer
D. Submit the requisition for approval
E. Checkout and Save the requisition
F. Create change request on the requisition after submitting requisition for approval
Answer: B F

QUESTION NO: 3
You operate in a country whose unstable currency makes it unsuitable for managing your day- to-day business.
As a consequence, you need to manage your business in a more stable currency while retaining the ability to report in the unstable local currency.
What would be your recommendation when defining ledgers?
A. Define Balance-Level Reporting Currencies in the more stable currency and run Translation as often as you need.
B. Use Journal-Level or Subledger-Level Reporting Currencies denominated in the more stable currency.
C. Run Revaluation as often as you need to the more stable currency and report on the more stable currency's balances.
D. Create a secondary ledger that uses a different chart of accounts that is denominated in the more stable currency.
Answer: B
Explanation
http://docs.oracle.com/cd/E15586_01/fusionapps.1111/e20374/F484499AN16AFA.htm

QUESTION NO: 4
Your enterprise structure has one ledger and two business units. Business unit one wants to enable budgetary control for Requisitioning only in 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.)
A. While defining control for business unit two, enable control at Requisitioning and define the exceptions to only include invoicing.
B. Define control for business unit two to disable control for Requisitioning, Purchasing, and
Receiving.
C. Define budgetary control at ledger level with Budgetary Control Exceptions for each business unit.
D. While defining control for business unit one, disable control for Purchasing, Payable Invoicing, and
Receiving.
E. While defining control for business unit one, enable control at purchasing and define the exceptions to only include requisitioning.
F. Define budgetary control at ledger level and only encumbrance controls at the business units.
Answer: A F

QUESTION NO: 5
You are reconciling your Payables the Receivables balances against the General Ledger. You are using the Payables to Ledger Reconciliation report. You notice discrepancies between the balances in the subledgers, subledger accounting, and general ledger.
Which three factors are responsible for these out-of-balance situations?
A. All sub ledger transactions have been entered but do not have complete accounting.
B. Subledger transactions have been accounted and transferred to General Ledger but have not been posted.
C. There were manually entered journals against the Payables and Receivables accounts that were posted in General Ledger.
D. Intercompany transactions have not been fully processed.
E. Period Close processes, such as Revaluation, Translation, and Consolidation have not been performed yet.
Answer: B D E

弊社のソフトを使用して、ほとんどのお客様は難しいと思われているOracleのCisco 300-420試験に順調に剛角しました。 我々はあなたのOracleのSymantec 250-586試験のための必要がある資料を提供いたします。 我々のOracleのSAP P_SAPEA_2023ソフトを利用してお客様の高通過率及び我々の技術の高いチームで、我々は自信を持って我々NewValidDumpsは専門的なのだと言えます。 Cisco 350-401J - あなたは復習資料に悩んでいるかもしれません。 暇な時間だけでOracleのSalesforce Pardot-Specialist-JPN試験に合格したいのですか。

Updated: May 28, 2022

1Z0-960関連受験参考書 & 1Z0-960受験料過去問 - Oracle 1Z0-960日本語版問題集

PDF問題と解答

試験コード:1z0-960
試験名称:Oracle Financials Cloud: General Ledger 2017 Implementation Essentials
最近更新時間:2024-05-19
問題と解答:全 140
Oracle 1z0-960 試験内容

  ダウンロード


 

模擬試験

試験コード:1z0-960
試験名称:Oracle Financials Cloud: General Ledger 2017 Implementation Essentials
最近更新時間:2024-05-19
問題と解答:全 140
Oracle 1z0-960 対応問題集

  ダウンロード


 

オンライン版

試験コード:1z0-960
試験名称:Oracle Financials Cloud: General Ledger 2017 Implementation Essentials
最近更新時間:2024-05-19
問題と解答:全 140
Oracle 1z0-960 日本語サンプル

  ダウンロード


 

1z0-960 最新資料