1z1-333 無料問題集「Oracle Financials Cloud: General Ledger 2016 Implementation Essentials」

You are implementing Fusion Accounting Hub for your external Accounts Receivables system. The external system sends invoices billed and cash receipts in a flat file, along with
the customer classification information. You want the accounting amounts to be tracked by customers too but you do not want to add a Customer segment to your chart of accounts.
What is the solution?

You want to enter budget data in Fusion General Ledger. Which method is not supported?

解説: (JPNTest メンバーにのみ表示されます)
Your customer has only licensed Fusion Financials and wants to use approval workflows.
Using which page to enter users and assign roles does Oracle consider best practice?

You need to define multiple allocation rules as efficiently as possible.
Which three components can be reused across allocation rules?

正解:A、C、D 解答を投票する
The budget managers specify the budget accounts they want to monitor and decide on percentage threshold of funds availability.
Where must you define the details while analyzing budget balances in the Budget Account Monitor page?

The Accounting Manager requests that a schedule be created to automatically post journals from subledgers at different times.
Which journal attribute should you use to set the automatic posting criteria?

Which three objectives must be considered when designing the chart of accounts?

正解:B、C、E 解答を投票する
You are implementing Financials Cloud and are using spreadsheets to load Legal Entities, Business Units, and Account Hierarchies.
Which three setup objects can be loaded via a spreadsheet from Functional Setup Manager?

正解:B、C、E 解答を投票する
解説: (JPNTest メンバーにのみ表示されます)

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