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Oracle 1Z0-1060-20日本語 Practice Q&A's

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Oracle 1Z0-1060-20日本語 Exam Syllabus Topics:

SectionObjectives
Data Integration and Processing- Transaction processing
  • 1. Accounting entry generation process
    • 2. Importing source transactions
      Accounting Rules and Mapping- Accounting rule definition
      • 1. Rules-based accounting configuration
        • 2. Mapping sets and derivation rules
          Configuration and Setup- Initial setup tasks
          • 1. Source system configuration
            • 2. Ledger and accounting setup considerations
              Implementation and Administration- Deployment and maintenance
              • 1. Security and roles setup
                • 2. Troubleshooting and monitoring
                  Accounting Hub Cloud Overview- Architecture and key components
                  • 1. Accounting Hub Cloud positioning and use cases
                    • 2. Integration with Oracle Financials Cloud
                      Reporting and Reconciliation- Financial reporting outputs
                      • 1. Journal and subledger reporting
                        • 2. Reconciliation processes

                          Oracle Accounting Hub Cloud 2020 Implementation Essentials (1Z0-1060-20日本語版) Sample Questions:

                          1. 登録されたソースシステムのジャーナルエントリを照会するために使用される重要な属性は何ですか?

                          A) ジャーナルソース
                          B) 会計日
                          C) 元帳名
                          D) 取引日


                          2. 補助元帳仕訳を調整するために使用される4つのオプションはどれですか?

                          A) 補助元帳会計診断レポートを実行します。
                          B) 補助元帳会計方法設定レポートを実行します。
                          C) サポート参照に仕訳入力行のタグを付けます。
                          D) 調整参照会計属性を使用して調整を設定します。
                          E) カスタムOTBIレポートを作成します。
                          F) ジャーナル行に説明テキストとソースを割り当てます。


                          3. アカウンティングハブクラウドでアカウンティング処理を承認するために割り当てる必要がある義務の役割は何ですか?

                          A) 会計ハブは仕訳入力義務の役割を作成および投稿します
                          B) 会計ハブの輸入関税の役割
                          C) 会計ハブ統合義務の役割
                          D) 会計ハブは会計義務の役割を作成します


                          4. アカウンティングハブクラウドにアップロードされた補助元帳に対して、いくつのトランザクションイベントクラスを設定できますか?

                          A) 無制限
                          B) 3つ
                          C) 2つ
                          D) 1つ


                          5. 外部の売掛金システムにFusionAccountingHubを実装しています。外部システムは、請求書と現金領収書を顧客分類情報とともにフラットファイルで送信します。
                          会計金額も顧客によって追跡されるようにしたいが、顧客セグメントを勘定科目表に追加したくない。
                          解決策は何ですか?

                          A) 顧客別の残高があるOpen Account BalancesListingレポートを使用します。
                          B) サポートリファレンスを使用して、顧客の分類情報を取得します。
                          C) 顧客情報をソースとしてキャプチャし、Online Transactional Business Intelligence(OTBI)を使用してカスタムレポートを作成します。
                          D) サードパーティのコントロールアカウント機能を使用します。


                          Solutions:

                          Question # 1
                          Answer: A
                          Question # 2
                          Answer: C,D,E,F
                          Question # 3
                          Answer: C
                          Question # 4
                          Answer: D
                          Question # 5
                          Answer: B

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