1Z1-1054 New Dumps Pdf & Valid 1Z1-1054 Exam Dumps.Zip - Oracle 1Z1-1054 Reliable Exam Dumps - Omgzlook

Your convenience and demands also deserve our deep consideration. At the same time, your property rights never expire once you have paid for money. So the 1Z1-1054 New Dumps Pdf study tool can be reused after you have got the 1Z1-1054 New Dumps Pdf certificate. Get the test 1Z1-1054 New Dumps Pdf certification is not achieved overnight, we need to invest a lot of time and energy to review, and the review process is less a week or two, more than a month or two, or even half a year, so 1Z1-1054 New Dumps Pdf exam questions are one of the biggest advantage is that it is the most effective tools for saving time for users. Users do not need to spend too much time on 1Z1-1054 New Dumps Pdf questions torrent, only need to use their time pieces for efficient learning, the cost is about 20 to 30 hours, users can easily master the test key and difficulties of questions and answers of 1Z1-1054 New Dumps Pdf prep guide, and in such a short time acquisition of accurate examination skills, better answer out of step, so as to realize high pass the qualification test, has obtained the corresponding qualification certificate. All our team of experts and service staff are waiting for your mail on the 1Z1-1054 New Dumps Pdf exam questions all the time.

Oracle Financials Cloud 1Z1-1054 Also, the system will deduct the relevant money.

For our professional experts simplified the content of the1Z1-1054 - Oracle Financials Cloud: General Ledger 2019 Implementation Essentials New Dumps Pdf exam questions for all our customers to be understood. In order to remain competitive in the market, our company has been keeping researching and developing of the new 1Z1-1054 Latest Exam Blueprint exam questions. We are focused on offering the most comprehensive 1Z1-1054 Latest Exam Blueprint study materials which cover all official tests.

Some candidates may like to accept the help of their friends or mentors, and some candidates may only rely on some 1Z1-1054 New Dumps Pdf books. But none of these ways are more effective than our 1Z1-1054 New Dumps Pdf exam material. In summary, choose our exam materials will be the best method to defeat the exam.

Oracle 1Z1-1054 New Dumps Pdf - Do not be bemused about the exam.

Omgzlook help you to find real Oracle 1Z1-1054 New Dumps Pdf exam preparation process in a real environment. If you are a beginner, and if you want to improve your professional skills, Omgzlook Oracle 1Z1-1054 New Dumps Pdf exam braindumps will help you to achieve your desire step by step. If you have any questions about the exam, Omgzlook the Oracle 1Z1-1054 New Dumps Pdf will help you to solve them. Within a year, we provide free updates. Please pay more attention to our website.

Considering many exam candidates are in a state of anguished mood to prepare for the 1Z1-1054 New Dumps Pdf exam, our company made three versions of 1Z1-1054 New Dumps Pdf real exam materials to offer help. All these variants due to our customer-oriented tenets.

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

SAP C-BW4H-2404 - They used their knowledge and experience as well as the ever-changing IT industry to produce the material. HP HPE7-M03 - The world today is in an era dominated by knowledge. EMC D-OME-OE-A-24 - This training matrial is not only have reasonable price, and will save you a lot of time. The assistance of our Huawei H19-315 guide question dumps are beyond your imagination. SAP C_ARSUM_2404 - Do not feel that you have no ability, and don't doubt yourself.

Updated: May 28, 2022