1Z0-1055 Test Voucher & Training 1Z0-1055 For Exam - Oracle 1Z0-1055 Exam Blueprint - Goldmile-Infobiz

All consumers who are interested in 1Z0-1055 Test Voucher guide materials can download our free trial database at any time by visiting our platform. During the trial process, you can learn about the three modes of 1Z0-1055 Test Voucher study quiz and whether the presentation and explanation of the topic in 1Z0-1055 Test Voucher preparation questions is consistent with what you want. If you are interested in our products, I believe that after your trial, you will certainly not hesitate to buy it. If you eventually fail the exam, we will refund the fee by the contract. We are confident that in the future, our 1Z0-1055 Test Voucher study tool will be more attractive and the pass rate will be further enhanced. Our 1Z0-1055 Test Voucher exam braindumps are available for downloading without any other disturbing requirements as long as you have paid successfully, which is increasingly important to an examinee as he or she has limited time for personal study.

Oracle Financials Cloud 1Z0-1055 It will not cause you any trouble.

All 1Z0-1055 - Oracle Financials Cloud: Payables 2019 Implementation Essentials Test Voucher study materials you should know are written in them with three versions to choose from: the PDF, Software and APP online versions. When the some candidates through how many years attempted to achieve a goal to get 1Z0-1055 Latest Test Price certification, had still not seen success hope, candidate thought always depth is having doubts unavoidably bog: can I get 1Z0-1055 Latest Test Price certification? When can I get 1Z0-1055 Latest Test Price certification? In this a succession of question behind, is following close on is the suspicion and lax. In fact, passing 1Z0-1055 Latest Test Price certification exam is just a piece of cake!

The rigorous world force us to develop ourselves, thus we can't let the opportunities slip away. Being more suitable for our customers the 1Z0-1055 Test Voucher torrent question complied by our company can help you improve your competitiveness in job seeking, and 1Z0-1055 Test Voucher exam training can help you update with times simultaneously. So our high efficiency 1Z0-1055 Test Voucher torrent question can be your best study partner.

Come and buy our Oracle 1Z0-1055 Test Voucher exam guide!

Most people define 1Z0-1055 Test Voucher study tool as regular books and imagine that the more you buy, the higher your grade may be. It is true this kind of view make sense to some extent. However, our 1Z0-1055 Test Voucher real questions are high efficient priced with reasonable amount, acceptable to exam candidates around the world. Our 1Z0-1055 Test Voucher practice materials comprise of a number of academic questions for your practice, which are interlinked and helpful for your exam. Unlike those untenable practice materials in the market, our 1Z0-1055 Test Voucher practice materials are highly utilitarian for their accuracy of the real exam because all content are compiled by proficient experts who engaged in this area more than ten years. It is our unswerving will to help you pass the exam by 1Z0-1055 Test Voucher study tool smoothly.

Up to now, many people have successfully passed the 1Z0-1055 Test Voucher exam with our assistance. So you need to be brave enough to have a try.

1Z0-1055 PDF DEMO:

QUESTION NO: 1
Which three are subject area subfolders that report Payables reconciliation differences to
General Ledger? (Choose three.)
A. Reconciliation Payment Details
B. Reconciliation Invoice Request Details
C. Reconciliation Prepayment Application Details
D. Reconciliation Invoice Details
E. Reconciliation Invoice Hold Details
Answer: A,C,D

QUESTION NO: 2
You have an invoice with a payment term that has the following settings:
* Day of Month = 15
* Cut off Day = 11
* Months Ahead = 0
* Terms Date on Invoice = January 12th
What will the resulting due date for the invoice installment be?
A. February 15th
B. April 15th
C. March 15th
D. January 15th
Answer: A

QUESTION NO: 3
You entered an invoice of 12,000 and paid it for Office Suppliers. The payment was never received by the supplier, and you decide to return the entire order. What should you do?
A. Void the payment, which debits cash and credits the liability, and then cancel the invoice, which debits the liability and credits the expense.
B. Void the payment, which debits cash and credits the liability, and then issue a credit memo, which debits the liability and credits the expense.
C. Cancel the invoice, which debits the liability and credits the expense.
D. Issue a credit memo, which will debit the liability and credit the expense.
Answer: A

QUESTION NO: 4
The expense auditor has chosen to Request More Information for an expense report. Select two ways the system processes this action. (Choose two.)
A. The audit can be completed before the requested information is received from the employee.
B. The expense report status remains Pending Payables Approval.
C. The expense report is routed back to the approvers.
D. The employee must resubmit the expense report.
Answer: B,C
Explanation:
To request more information for an expense report, select the Request More Information option from the Actions menu in theheader of the Audit Expense Report page. The employee receives a notification that includes the reason for the request, specific instructions, and any additional instructions from you. Selecting the Request More Information action results in the following:
References:https://docs.oracle.com/cd/E60665_01/financialscs_gs/FAWDE.pdf

QUESTION NO: 5
When submitting the Payables to General Ledger Reconciliation report, the extract did not select any dat a. What should you check?
A. Make sure you assign an Account parameter when running the extract to include liability accounts.
B. Make sure you specified a Business Unit in the parameters when running the extract.
C. Make sure you enabled the Reconciliation flag to all of your liability natural account values.
D. Make sure you assigned a Financial Category of Accounts Payable to all your liability natural account values.
Answer: D
Explanation:
You must assign a Financial Category of Accounts payable to all your liability natural account values.
This is a required setup step for Payables to General Ledger reconciliation.
References:https://docs.oracle.com/cloud/farel8/financialscs_gs/FAPPP/F1011880AN1B948.htmc

Databricks Associate-Developer-Apache-Spark-3.5 - They are unsuspecting experts who you can count on. And all of the PDF version, online engine and windows software of the Cisco 350-401 study guide will be tested for many times. All these versions of our HRPA CHRP-KE exam braindumps are popular and priced cheap with high quality and accuracy rate. You can take part in the real ASIS PSP exam after you have memorized all questions and answers accurately. Allowing for there is a steady and growing demand for our CMAA Construction-Manager real exam with high quality at moderate prices, we never stop the pace of doing better.

Updated: May 28, 2022