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Oracle 1z0-1060-24 - Oracle Accounting Hub Cloud 2024 Implementation Professional

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Total 80 questions

Challenge 4: Manage Description Rule

TASK

Create Description Rule

Subledger Application: AHC Billing

Process Category: AHC Billing

Event Class: AHC Billing

Event Type: Customer Billing, Customer Pay In, Customer Refund, Customer Settlement

Challenge 2: Manage Account Rule

TASK

Create Account Rule with 3 priorities

Name of Account Rule: Revenue Account

Subledger Application: AHC Billing

Process Category: AHC Billing

Event Class: AHC Billing

Event Type: Customer Billing, Customer Pay In, Customer Refund, Customer Settlement

Challenge 1: Manage Journal Line Rule

TASK

Create 2 Journal Line Rule

Interest Receivable

Interest Income

Subledger Application: AHC Loan

Process Category: AHC Loan

Event Class: AHC Loan

Event Type: Loan Origination, Interest Accrual, Payment

Challenge 3: Manage User Define Formulas

TASK

Create User Defined Formula for Admin Charges

Subledger Application: AHC Billing

Process Category: AHC Billing

Event Class: AHC Billing

Event Type: Customer Billing, Customer Pay In, Customer Refund, Customer Settlement

Your client has operations in the US and the UK, and they currently use a third-party billing system to process their transactions, such as Complete an Invoice, Record a Payment, Record Late Charges, and Recognize Revenue. As part of the Accounting Hub implementation, you have been asked to register the billing source system.

While registering the source system using the spreadsheet template, which TWO could be flagged as errors by the validation check process?

A.

You cannot add more than 30 sources when the Journal Display column is enabled

B.

You cannot add more than 10 sources when the Journal Display column is enabled

C.

The event type name cannot exceed 30 characters

D.

The event type name cannot exceed 25 characters

In Functional Setup Manager, if setup data is segmented by a specific context, you can perform the setup task iteratively, such as assigning different ledger options to different primary ledgers.

Which action should you take to specify the context?

A.

Select the value for a Functional Area.

B.

Select the value for a Feature

C.

Select the value for a Lookup Code

D.

Select the value for a Scope

You are trying to explain to an accountant that account override is an adjustment feature of Subledger Accounting.

Which TWO traits can help you further explain this feature?

A.

It allows users to record a reason for the adjustment

B.

It adjusts the original source transaction

C.

It provides an audit trail by preserving the original subledger journal entry

D.

It is intended to correct only the subledger journals that have been posted

The company 'Insurance for Homes' provides home insurance services. It has an in-house system that processes home insurance payments received from customers. The end result of the process consists of a list of individual journal entries in a spreadsheet. The company wants to get all journal entries in a secure and auditable repository. Access will be limited to a select few staff members. Additionally, these staff members will need to be able to report and view the entries using an advanced reporting and analytical tool for slicing and dicing the journal entries.

Insurance premium is to be recognized as income across the coverage period of the insurance policy.

Which types of journal lines need to be set up to generate recurring journal entries for insurance premium in each accounting period?

A.

Deferral and Recognition

B.

Reversal and Recognition

C.

Multiperiod and Recognition

You are tasked with identifying the reason for a user from your client organization not being able to submit the job that imports the transaction data for accounting and posting in General Ledger.

You realize that a duty role needs to be associated with a job role for authorizing the access to import the accounting transactions process.

Which duty role would you suggest?

A.

Accounting Hub Import Duty Role

B.

Accounting Hub Create and Post Journal Entry Duty Role

C.

Accounting Hub Create Accounting Duty Role

D.

Accounting Hub Integration Duty Role

A banking organization is currently using different transaction systems for various types of loans, including vehicle loans, personal loans, education loans, and housing loans. You have been appointed as a consultant to implement Accounting Hub Cloud.

Which THREE points should you remember while registering the source system for the organization?

A.

Summarized Transaction type information cannot be sent for accounting transformation

B.

Use separate subledgers to share sub-ledger accounting rules

C.

Use separate subledgers to provide more security across applications

D.

A transaction type and its associated transaction data typically relate to a single document of transaction

E.

Use separate subledgers to ensure less data processing in each run