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| Section | Objectives |
|---|---|
| Topic 1: Financial Accounting | - General Ledger - Accounting Configuration - Accounting Processes |
| Topic 2: Financial Reporting | - Report Configuration - Financial Statements - Standard Financial Reports |
| Topic 3: Financial Period Close | - Reconciliation - Period-End Close Activities - Close Monitoring |
| Topic 4: Operational Maintenance | - Best Practices - Troubleshooting - Data Validation |
| Topic 5: Record-to-Report Configuration | - Accounting Rules - Security and Permissions - Business Process Configuration |
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NEW QUESTION # 15
A company organizes various events. They want to report on transactions using an Event Type. This Event Type does not need any members, security or hierarchy.
What should you do?
Answer: B
Explanation:
Comprehensive and Detailed 150 to 250 words of Explanation From Workday Record-to-Report/Course Guide/topics:
A custom worktag is appropriate because Event Type is required only as a reporting dimension and does not need organizational members, hierarchy behavior, role assignments, or organization-based security. Enabling a custom worktag type and creating values for each event gives users a lightweight dimension that can be placed on transactions, journal lines, reports, and calculated fields.
A custom organization would introduce unnecessary structural and security capabilities that the requirement explicitly excludes. Maintain Worktag Usage determines whether an already configured worktag type is available or required on a transaction type; it does not create the Event Type dimension or its values. Maintain Related Worktag Usage establishes defaulting or required relationships between a business object and another worktag, such as deriving Region from Cost Center. That task also does not create the requested reporting classification. After enabling the custom worktag, the administrator may use Maintain Worktag Usage to expose it on the relevant customer or financial transactions and may add custom validations if the requirement is conditional. The primary design decision, however, is to model Event Type as a custom worktag. This provides precise reporting without overengineering the FDM with an organization that has no organizational behavior.
Official Workday reference: Workday Education - Accounting Journals; topics: custom worktags, custom organizations, and worktag usage.
NEW QUESTION # 16
In addition to a unique report name, what must you immediately identify when creating a custom report?
Answer: B
Explanation:
Comprehensive and Detailed 150 to 250 words of Explanation From Workday Record-to-Report/Course Guide/topics:
When creating a custom report, the report writer must select a data source immediately after providing the unique report name and report type. The data source establishes the population of records available to the report, determines the primary business object, and controls which fields, related business objects, filters, and prompts can subsequently be configured. Selecting the correct data source is therefore a structural decision, not merely a display choice.
Report fields are added only after Workday knows which business objects and field families the data source exposes. The primary business object is derived from or associated with the chosen data source rather than independently selected as the first required input. Related business objects extend the report through relationships from that primary object and likewise cannot be defined before the source population exists. An indexed data source may additionally provide predefined data source filters for performance and security. Consequently, Data source is the required answer. A poorly selected source can cause missing fields, duplicate rows, inefficient processing, or an inappropriate security context, so the report writer should evaluate the business question and expected record grain before continuing with columns, filters, sorting, prompts, and sharing.
Official Workday reference: Workday Education - Workday Reporting; topics: custom report definition, data source, and primary business object.
NEW QUESTION # 17
Company B is a standalone company and is not part of a hierarchy.
What must you complete before Company B can enter an operating lease contract in Workday?
Answer: D
Explanation:
Comprehensive and Detailed 150 to 250 words of Explanation From Workday Record-to-Report/Course Guide/topics:
Before Company B creates an operating lease contract, administrators must establish the relationship among the company's enabled lease type, accounting method, and book code. The Maintain Lease Contract Book Code Configuration task provides this mapping. Workday uses it to determine which accounting basis applies when the lease contract is created and to route generated lease accounting into the correct book code.
Membership in a company hierarchy is not a prerequisite for entering a lease. A standalone legal entity can maintain its own lease configuration and accounting books. Approval of unrelated supplier contracts does not supply the required accounting mapping. Option C reverses the sequence: users should not manually choose an arbitrary lease type, method, and book code on the first contract before the governing configuration exists. Where multiple lease-accounting options are enabled, Workday specifically requires distinct lease contract book code configurations and prevents incompatible codes from being reused across standards. Once the configuration is complete, Company B can create the supplier contract using the appropriate lease contract type, and Workday can generate initial recognition, installments, expense recognition, and multibook accounting consistently. Therefore, Maintain Lease Contract Book Code Configuration is the required setup action.
Official Workday reference: Workday Education - Lease Accounting; topics: lease contract book code configuration and operating lease setup.
NEW QUESTION # 18
When can you view the accounting for a supplier invoice transaction?
Answer: B
Explanation:
Comprehensive and Detailed 150 to 250 words of Explanation From Workday Record-to-Report/Course Guide/topics:
Workday can generate and display provisional accounting after the supplier invoice is submitted, even while the Supplier Invoice Event remains In Progress. The user can access the transaction's related accounting to review the ledger accounts, amounts, taxes, worktags, and balancing entries that the configured account posting rules derive. This early visibility supports review and approval before the invoice completes.
Waiting for final approval or Posted status is unnecessary for viewing the generated accounting. Those later states determine completion and ledger inclusion, not the first point at which derived accounting can be examined. Option C is overly broad because accounting is not necessarily available at every point; a document that has not been submitted may not yet have generated the operational journal representation. Once submitted, the accounting can be inspected and errors or unexpected derivations can be identified while the workflow is still active. If configuration changes or transaction revisions occur, Workday may regenerate the accounting before final posting. Accordingly, the correct timing is after submission, even if the invoice remains in progress. Posted status is the evidence that the operational journal has affected the ledger, whereas View Accounting during workflow is a diagnostic and approval aid.
Official Workday reference: Workday Education - Supplier Accounts; topics: supplier invoice submission and View Accounting.
NEW QUESTION # 19
Company D and Company E process direct intercompany transactions, and both companies would like to automatically record intercompany receipts. Company D billed Company E for services provided, and Company E settled the invoice. However, Company D's accountant noticed the receipt has not been posted.
What is the most likely cause?
Answer: A
NEW QUESTION # 20
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