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Oracle 1z0-1060-25 Oracle Accounting Hub Cloud 2025Implementation Professional Exam Practice Test

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Total 80 questions

Oracle Accounting Hub Cloud 2025Implementation Professional Questions and Answers

Question 1

You design an income statement report with the help of Financial Reporting Web Studio. You add row numbers 3, 4, and 5 to reflect the balances for three different expense accounts and row number 6 to reflect the sum of row numbers 3, 4, and 5.

Which formula should be used on row number 6 to calculate the sum?

Options:

A.

([3,5])

B.

({3:5})

C.

([3;5])

D.

([3:5])

Question 2

Which two conditions must be met for automatic data provisioning to work?

Options:

A.

At least one of the user’s assignments matches all data-mapping conditions in a data provisioning rule.

B.

At least one role is automatically provisioned to the user using role provisioning rules.

C.

The data provisioning rule has at least one job, one position, and one inventory organization assigned to it.

Question 3

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?

Options:

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

Question 4

You are assigned to troubleshoot a Create Accounting error.

Which is the first step that you need to perform to use the Diagnostics Framework feature?

Options:

A.

Set the 'SLA: Enable Diagnostic' profile option.

B.

Run the Accounting Event Diagnostic report.

C.

Run Create Accounting again to generate journal entries for the events that ended in error.

D.

Submit the Accounting Event Diagnostic process.

Question 5

You have recently created an analysis to review periodic revenue amounts using Smart View. Your customer wants to use the drill-through option to get more details about the balances appearing in the analysis.

Which two drill-through options are available for use?

Options:

A.

Drill to Detail Balances

B.

Drill to Financial Reporting Center

C.

Drill to Account Group

D.

Drill to Account Inspector

Question 6

Which statement is true about journal entry rule sets?

Options:

A.

Description rules can be assigned at both the header and the line level of a journal entry rule set.

B.

Description rules can be assigned only at the header level of a journal entry rule set.

C.

Description rules can be assigned only at the line level of a journal entry rule set.

Question 7

Your customer needs to generate journal entries for the insurance premium collected from the sale of policies. The different components of the premium collected by the company include Basic Premium and Tax. You decide to set up three separate journal line rules to account for Basic Premium, Tax Amount, and Total Amount.

Which attribute in a journal line rule allows you to classify these three journal entry lines?

Options:

A.

Accounting Class

B.

Business Flow Class

C.

Event Class

D.

Rounding Class

Question 8

Your client is involved in the sale of health, vehicle, and home insurance services. Currently, they process their transactions in a source system. You have been appointed as a consultant to implement Accounting Hub Cloud and standardize their accounting process. You decide to register their source system as a single application in Accounting Hub Cloud. Your customer wants to know the changes that are allowed after registering a source system.

Which THREE actions can be performed after registering a source system?

Options:

A.

Modify the subledger application name as long as there are no pending accounting entries

B.

Assign and update value set and lookup type assignments to sources

C.

Revise source names and add more sources through the user interface

D.

Assign a named segment from the chart of accounts to the sources that correspond to the accounting flexfield identifiers

E.

Add new event classes through the user interface

Question 9

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?

Options:

A.

Select the value for Scope

B.

Select the value for Feature

C.

Select the value for Lookup Code

D.

Select the value for Functional Area

Question 10

The Insurance for Homes company provides home insurance services in the USA, the UK, France, and Italy. It is headquartered in the USA. The entities in the UK, France, and Italy are subsidiaries of the USA entity.

The company decides to configure four primary ledgers, one each for the USA, the UK, France, and Italy. It also plans to configure three secondary ledgers under the UK, France, and Italy primary ledgers.

Which TWO statements are true about setting up secondary ledgers?

Options:

A.

A chart of accounts mapping is only required if a secondary ledger has a different chart of accounts than its primary ledger

B.

Conversion levels available for a secondary ledger are Balance, Journal, Adjustment only, andSubledger

C.

A chart of accounts mapping is always required between the chart of accounts of the primary ledger and the secondary ledger

D.

Conversion levels available for a secondary ledger are Balance, Journal, and Subledger only

Question 11

You recently created an analysis to review the periodic revenue amounts using Smart View. Your customer wants to use the drill-through option to get more details about the balances appearing in the analysis.

Which TWO drill-through options would meet the requirement?

Options:

A.

Drill to Account Group

B.

Drill to Detail Balances

C.

Drill to Financial Reporting Center

D.

Drill to Account Inspector

Question 12

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?

Options:

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

Question 13

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

Options:

Question 14

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

Options:

Question 15

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

Options:

Question 16

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

Options:

Page: 1 / 8
Total 80 questions