1Z1-517 Clearer Explanation - 1Z1-517 Reliable Practice Questions Book & Oracle EBS R12.1 Payables Essentials - Goldmile-Infobiz

We provide the warm and 24-hours online service for every buyer who has any question about our 1Z1-517 Clearer Explanation valid exam bootcamp files. If we release new version for the 1Z1-517 Clearer Explanation exam files, we will notify buyers via email for free downloading. Some candidates have doubt about our one-year free updates and one year service assist for buyers who purchase Goldmile-Infobiz 1Z1-517 Clearer Explanation valid exam bootcamp files. It is free to try, and if it is suitable for you, then go to buy it, to ensure that you will never regret. Goldmile-Infobiz Oracle 1Z1-517 Clearer Explanation exam questions are made ​​in accordance with the latest syllabus and the actual Oracle 1Z1-517 Clearer Explanation certification exam. As a professional IT exam dumps provider, our website gives you more than just 1Z1-517 Clearer Explanation exam answers and questions, we also offer you the comprehensive service when you buy and after sales.

E Business Suite 1Z1-517 Goldmile-Infobiz allows you to have a bright future.

E Business Suite 1Z1-517 Clearer Explanation - Oracle EBS R12.1 Payables Essentials If this is what you want, why are you still hesitating? To pass the Oracle Valid 1Z1-517 Test Pattern exam is a dream who are engaged in IT industry. If you want to change the dream into reality, you only need to choose the professional training.

Many candidates can also certify for our 1Z1-517 Clearer Explanation study materials. As long as you are willing to trust our 1Z1-517 Clearer Explanation preparation materials, you are bound to get the 1Z1-517 Clearer Explanation certificate. Life needs new challenge.

Oracle 1Z1-517 Clearer Explanation - Time is nothing; timing is everything.

You may urgently need to attend 1Z1-517 Clearer Explanation certificate exam and get the certificate to prove you are qualified for the job in some area. But what certificate is valuable and useful and can help you a lot? Passing the 1Z1-517 Clearer Explanation test certification can help you prove that you are competent in some area and if you buy our 1Z1-517 Clearer Explanation study materials you will pass the test almost without any problems for we are the trustful verdor of the 1Z1-517 Clearer Explanation practice guide for years.

The pass rate of our products increased last year because of its reliability. Our website provides the most up-to-date and accurate 1Z1-517 Clearer Explanation dumps torrent which are the best for passing certification test.

1Z1-517 PDF DEMO:

QUESTION NO: 1
Select two restrictions that apply to consolidating budget balances. (Choose two.)
A. If the source and target budgets do not share the same start period, you must consolidate a specific period to a specific period.
B. If the source and target budgets do not share the same ledger, you must consolidate a specific period to a specific period.
C. If the source and target budgets share the same calendar, you must consolidate a specific period to a specific period.
D. If the source and target budgets do not share the same calendar, you must consolidate a specific period to a specific period.
E. If the source and target budgets share the same start period, you must consolidate a specific period to a specific period.
Answer: A,D

QUESTION NO: 2
You are at a client site that has thousands of suppliers in their current legacy system that will end up in the Oracle Production system. Before conversion, you must perform a supplier cleanup on these numerous names and sites.
Which three naming conventions would you use for "Best Practices" during the supplier cleanup?
(Choose three.)
A. Remove all punctuation masrks (commas, periods, and so on) from the supplier name.
B. Use Last Name, First Name to identify employees as suppliers.
C. Use the exact spelling of a supplier name as it appears on the invoice for the naming convention.
D. Create some supplier names in uppercase and others in mixed case.
E. Use abbreviations in the supplier name even it is not abbreviated on the invoice.
Answer: A,B,C

QUESTION NO: 3
Which two statements are true regarding ownership of shared entities? (Choose two.)
A. Customers is owned by Oracle Human Resources, whereas Locations is owned by Oracle
Receivables.
B. Ledger is owned by Oracle General Ledger, whereas Locations is owned by Oracle Human
Resources.
C. Suppliers is owned by Oracle Purchasing, whereas Units of Measure is owned by Oracle Inventory.
D. Items is owned by Oracle Purchasing, whereas Locations is owned by Oracle Receivables.
E. Sales Force is owned by Oracle Order Management, whereas Employees is owned by Oracle
Human Resources.
Answer: B,C

QUESTION NO: 4
Identify three ways that an invoice can be submitted for validation. (Choose three.)
A. in batch by submitting the Payables Invoice Validation program from the Submit Request window
B. in batch by submitting the Payables Invoice Validation program from the Invoice Workbench
C. online by clicking the "Validate" button in the Invoice Batches window
D. online by clicking the "Validate and Account" button in the Invoice Batches window
E. online by selecting either the Validate check box or the Validate Related Invoices check box in the
Invoice Actions window
Answer: A,C,E

QUESTION NO: 5
As part of its closing process, XYZ Corporation reviews receipt accruals. Occasionally, Payables matches incorrectly, and therefore they find that some perpetual accruals never clear, leaving reconciliation items on their accrual reports.
Which two actions can they perform to solve the problem? (Choose two.)
A. Run the Accrual Rebuild Reconciliation Report to identify the receipt accrual that has not cleared and use the Write-Off window to remove the item from reappearing on subsequent reports. Create a manual journal entry in General Ledger to clear the accrual.
B. Run the Uninvoiced Receipts Report to identify the receipt accrual that has not cleared and create a manual journal entry in General Ledger to clear the receipt from the report.
C. Reverse the invoice distributions and rematch if possible.
D. Run the Matching Hold Detail Report to identify the receipt that has not cleared and use the
Write-Off window to remove the item from reappearing on subsequent reports. Create a manual journal entry in General Ledger to clear the accrual.
Answer: A,C

We provide the ISQI CTFL-AcT study materials which are easy to be mastered, professional expert team and first-rate service to make you get an easy and efficient learning and preparation for the ISQI CTFL-AcT test. Our IT professionals written the latest SAP C-BCBAI-2509 test questions based on the requirement of the certification center, as well as the study materials and test content. These people who used our products have thought highly of our MSSC CLT study materials. Looking for latest ACAMS CAMS7-CN exam questions? You can pass the certification exam easily with our ACAMS CAMS7-CN practice exam. Snowflake COF-C02 - As an old saying goes: Practice makes perfect.

Updated: May 27, 2022