1Z1-1054 New Exam Camp File - Oracle Financials Cloud: General Ledger 2019 Implementation Essentials Latest Test Fee - Goldmile-Infobiz

But obtaining this 1Z1-1054 New Exam Camp File certificate is not an easy task, especially for those who are busy every day. However, if you use our 1Z1-1054 New Exam Camp File exam torrent, we will provide you with a comprehensive service to overcome your difficulties and effectively improve your ability. If you can take the time to learn about our 1Z1-1054 New Exam Camp File quiz prep, I believe you will be interested in our products. If you want to become a future professional person in this industry, getting qualified by Oracle certification is necessary. Now, pass your 1Z1-1054 New Exam Camp File actual exam in your first time by the help of Goldmile-Infobiz study material. Our 1Z1-1054 New Exam Camp File qualification test closely follow changes in the exam outline and practice.

Oracle Financials Cloud 1Z1-1054 Yes, it is silent and clear.

And if you find that your version of the 1Z1-1054 - Oracle Financials Cloud: General Ledger 2019 Implementation Essentials New Exam Camp File practice guide is over one year, you can enjoy 50% discount if you buy it again. By practicing our 1Z1-1054 Valid Exam Guide Materials vce pdf, you can test your skills and knowledge for the test and make well preparation for the formal exam. One-year free updating will ensure you get the latest 1Z1-1054 Valid Exam Guide Materials study materials first time and the accuracy of our 1Z1-1054 Valid Exam Guide Materials exam questions guarantee the high passing score.

Our 1Z1-1054 New Exam Camp File exam questions are designed from the customer's perspective, and experts that we employed will update our 1Z1-1054 New Exam Camp File learning materials according to changing trends to ensure the high quality of the 1Z1-1054 New Exam Camp File practice materials. What are you still waiting for? Choosing our 1Z1-1054 New Exam Camp File guide questions and work for getting the certificate, you will make your life more colorful and successful.

Also, our Oracle 1Z1-1054 New Exam Camp File exam guide will keep advancing.

Our 1Z1-1054 New Exam Camp File exam questions are related to test standards and are made in the form of actual tests. Whether you are newbie or experienced exam candidates, our 1Z1-1054 New Exam Camp File study guide will relieve you of tremendous pressure and help you conquer the difficulties with efficiency. If you study with our 1Z1-1054 New Exam Camp File practice engine for 20 to 30 hours, we can claim that you can pass the exam as easy as a pie. Why not have a try?

All exam questions that contained in our 1Z1-1054 New Exam Camp File study engine you should know are written by our professional specialists with three versions to choose from: the PDF, the Software and the APP online. In case there are any changes happened to the 1Z1-1054 New Exam Camp File exam, the experts keep close eyes on trends of it and compile new updates constantly.

1Z1-1054 PDF DEMO:

QUESTION NO: 1
You entered a journal and the client is asking for the following information:
* The current account balance
* What the future account balance will be if the journal is approved and posted How will you get this information?
A. View the Projected Balances region in the Create Journals page
B. Query the account balance online
C. Run a Trial Balance before and after posting
D. Use Oracle Transactional Business Intelligence (OTBI) to query General Ledger balances
Answer: A

QUESTION NO: 2
Encumbrance accounting is enabled for your ledger. An encumbrance journal dated 3/15/16 was recorded for a purchase order.
The invoice was entered on 5/5/16, but the invoice accounting date was 4/20/16. The encumbrance journal for liquidating the purchase order encumbrance is dated 5/5/16.
What is causing this?
A. The system date was set up under the encumbrance accounting Default Date Rule
B. The current transaction accounting date was set up under the encumbrance accounting Default
Date Rule
C. The subledger accounting option is set to system date
D. The actual accounting date was set up under the encumbrance accounting Default Date Rule
E. The prior related transaction accounting date was set up under the encumbrance accounting
Default Date Rule
Answer: B

QUESTION NO: 3
The Delete Translated Balances process provides the ability to completely reset translations in the event that significant changes are made to the accounting configuration.
Once the deletion process completes, what additional process must you run?
A. Submit the Create Scenario Dimension Members process to ensure that the balances cube maintains translated balances that are consistent with future translations.
B. Submit the Update General Ledger Balances Cube process to ensure that the balances cube maintains translated balances that are consistent with future translations.
C. Submit the Create Currency Dimension Members process to ensure that the balances cube maintains translated balances that are consistent with future translations.
D. Submit the Create General Ledger Balances Cube process to ensure that the balances cube maintains translated balances that are consistent with future translations.
Answer: D

QUESTION NO: 4
Your customer has many eliminating entries to eliminate intercompany balances. The General
Ledger does not include a purpose-built Consolidation feature. How would you automate the process of creating eliminating entries, assuming your customer is not using Oracle Hyperion Financial Close
Management?
A. Create a manual journal that includes the eliminating entries, and then create a copy of the journal batch every period
B. There is no way to automate this process if the customer is not using Oracle Hyperion Financial
Close Management
C. Use the General Ledger's Calculation Manager to define an allocation definition to eliminate entries that you can generate every period
D. Use the spreadsheet template that is accessed from the "Create Journal in Spreadsheet" task and import the spreadsheet with the eliminating entries every period
Answer: C

QUESTION NO: 5
Which reporting tool is best suited for submitting high-volume transactional reports, such as
Invoice Registers or Trial Balance reports, that can be configured to extract the data in Rich Text
Format or xml?
A. Smart View
B. Oracle Data Visualization Cloud Service
C. Business Intelligence Publisher (BI Publisher)
D. Financial Reporting Center
E. Oracle Transactional Business Intelligence (OTBI)
Answer: C

What are you waiting for? Come and buy Oracle N16599GC10 study guide now! Huawei H19-410_V1.0 - Nowadays the competition in the job market is fiercer than any time in the past. Cisco 200-301 - For most users, access to the relevant qualifying examinations may be the first, so many of the course content related to qualifying examinations are complex and arcane. Studying with our WGU Managing-Cloud-Security actual exam, you can get the most professional information and achieve your dreaming scores by your first go. If you can choose to trust us, I believe you will have a good experience when you use the Huawei H35-211_V2.5 study guide, and you can pass the exam and get a good grade in the test Huawei H35-211_V2.5 certification.

Updated: May 28, 2022