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Oracle 1Z0-508 (Oracle Fusion Financials 11g General Ledger Essentials) 덤프공부

Oracle 1Z0-508 (Oracle Fusion Financials 11g General Ledger Essentials) 인증시험은 현재 IT인사들 중 아주 인기 있는 인증시험입니다. Oracle 1Z0-508 (Oracle Fusion Financials 11g General Ledger Essentials)  시험패스는 여러분의 하시는 일과 생활에서 많은 도움을 줄 뿐만 아니라 중요한 건 여러분의 IT업계에서의 자기만의 자리를 지키는 유력한 조건입니다. 이렇게 좋은 시험이니 많은 분들이 응시하려고 하는데 패스율은 아주 낮습니다.Pass4Test는  Oracle 1Z0-508 (Oracle Fusion Financials 11g General Ledger Essentials)  인증시험을 아주 쉽게 패스할 수있도록 도와드리는 사이트입니다. Pass4Test의 엘리트한 전문가가 끊임 없는 노력으로 최고의 Oracle 1Z0-508 (Oracle Fusion Financials 11g General Ledger Essentials)  자료를 만들었습니다.이 자료로 여러분은 100%  Oracle 1Z0-508 (Oracle Fusion Financials 11g General Ledger Essen tials)  인증시험을 패스할 수 있으며 Pass4Test을 선택함으로 성공을 선택한 것과 같습니다.Pass4Test가 제공하는 시험가이드로 효과적인 학습으로 많은 분들이 모두 인증시험을 패스하였습니다. 이건 모두 Pass4Test 인증시험덤프로 시험준비를 하셨기 때문입니다. 그 중 Oracle 1Z0-508 (Oracle Fusion Financials 11g General Ledger Essentials)  인증시험을 패스한 분들도  Pass4Test인증시험 덤프를 사용하셨기 때문입니다.

 

 

NO.1 During the analysis phase of the implementation, it was discovered that there were some
expense
entries that are paid in the current month for services rendered in the next month, the client wants
to defer the expense and recognize it in the next month. What would you recommend?
A. Create two accounting events: one for payment and one for recognition.
B. Use Account Derivation rules to create two different entries.
C. Use multiperiod accounting-enabled Journal Line Types.
D. Use Journal Line Definitions.
Answer: C

NO.2 What are NOT included in the intercompany reconciliation reports?
A. Clearing company balancing lines
B. Intercompany receivables and intercompany lines generated by the intercompany balancing
feature
C. Intercompany receivables and Intercompany payables lines generated for the provider and
receiver of each intercompany transaction
D. Ledger balancing lines generated when the primary balancing segment value is in balance
butneither the second balancing segment northird balancing segment is out of balance; clearing
company balancing lines
Answer: A

NO.3 The Receivables and Payables accounts that are automatically generated by intercompany
transactions use rules and attributes in what order?
A. Primary Balancing Segment Rules; Ledger Entity Level Rules; Ledger Level Rules;Chart of
Account Rules
B. Ledger entity Level Rules; ledger Level Rules; Chart of Account Rules; Primary Balancing
Segment Rules
C. Chart of Account Rules; Primary Balancing Segment Rules; Ledger Entity Level Rules; Ledger
Level Rules
D. Ledger Level Rules;Primary Balancing Segment Rules;Ledger Entity Level Rules; Chart of
Accounts Rules
E. Chart of Account Rules; Ledger Entity Level Rules, Primary Balancing Segment Rules; Ledger
Level Rules
Answer: A

NO.4 Choose the two Oracle Hyperion Reporting and Analysis products and artifacts, that can be
imported into financial Reporting.
A. Dynamic Report (* .des)
B. Impact Manage Transformation Scripts (*. Js)
C. Snapshot Reports (*.rpt)
D. Books. (*.kbk)
Answer: C,D

NO.5 Identify two INVALID features of POV in Financial Reporting Studio.
A. Multiple grids cannot be Included in a report.
B. To identify that a dimension is set for grid POV, text row foot note should be added for a
gridPOV for a dimension.
C. A memberselection function with CurrentPOV as the member parameter changes to a User
POV when members are selected from a row, column or page axis on a grid.
D. POV book is specific to any report or grid object in report in that book.
E. All POVs allow a single member to be set for a dimension.
Answer: B,D

NO.6 When reconciling transactions, accounted amounts in a reconciliation report may be different
due
to differences in the currency conversion rates used. To mitigate the differences in the account
balances you should ____________.
A. Run the report using an additional common currency conversion rate
B. Run additional reports using a number of varied currency conversion rates
C. Add a ledger-balancing line in the intercompany Receivables account and rerun the report
D. Add a ledger-balancing line in the intercompany Payables account and rerun the report
Answer: D

NO.7 An invoice with two lines is entered, later that day an adjustment is made to the invoice to add
another line. At the end of the day, the invoice is sent to the Fusion Accounting Hub. How many
events would you create?
A. Twoevents: one for invoice creation and one for the adjustment
B. Oneeventforinvoice creation; adjustment happened before transaction sent to the Fusion
Accounting Hub
C. Threeevents: one for invoice creation and two for line creation
D. Fourevents: one for invoice creation, one each for the two lines arid one for the adjustment
Answer: B

NO.8 XYZ Company has two departments: Marketing and Finance. The Finance Department has two
Functional divisions: receivables and payables. Select the flow for establishing hierarchy.
A. Hierarchy between functional divisions only
B. Hierarchy between departments only
C. Hierarchy between the organization and its departments, and between the departments and
their respective functional divisions
D. hierarchy between the organization and its departments and functional divisions only
Answer: C

NO.9 Where do you perform real-time, ad hoc queries from a data warehouse?
A. General Accounting and Journals dashboards
B. Oracle Transaction Business Intelligence
C. Oracle Business Intelligence Analytics
D. Account Monitory and Account Inspector
Answer: D

NO.10 Identify the option that needs to be selected at the header level when assigning a header
level
subledger Journal Rule Set.
A. Accounting Date
B. Description
C. Supporting Reference
D. Ledger
E. Currency
Answer: A
Posted 2013/2/26 5:37:34  |  Category: 미분류  |  Tag: