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Oracle 1Z0-1054-26 Exam Syllabus Topics:

SectionObjectives
Topic 1: Accounting and Close Processes- Period close activities
  • 1. Close monitoring and reconciliation
    • 2. Subledger to GL reconciliation
      - Financial reporting
      • 1. Financial Reporting Studio usage
        • 2. Account analysis and reporting
          Topic 2: Journal Processing- Journal creation and management
          • 1. Recurring journals
            • 2. Manual journals
              - Journal approvals and posting
              • 1. Approval workflows
                • 2. Posting process and controls
                  Topic 3: Advanced Financials Features- Intercompany accounting
                  • 1. Intercompany transactions
                    • 2. Balancing and eliminations
                      - Allocations and automation
                      • 1. Allocation rules
                        • 2. Automated accounting processes
                          Topic 4: General Ledger Configuration- Enterprise structure setup for Financials
                          • 1. Ledger configuration
                            • 2. Chart of Accounts design and setup
                              - Accounting configuration
                              • 1. Accounting calendars
                                • 2. Currency setup and revaluation
                                  Topic 5: Security and Integration- Integration with subledgers
                                  • 1. AP/AR integration with GL
                                    • 2. Data import and export processes
                                      - Role-based access control
                                      • 1. Financial roles and privileges

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                                        Oracle Fusion Cloud Financials: General Ledger 2026 Implementation Professional 認定 1Z0-1054-26 試験問題 (Q90-Q95):

                                        質問 # 90
                                        You are using Oracle General Ledger (GL), Oracle Payables, and Oracle Receivables and you want to prevent the closure of the GL period if the corresponding subledger period is not closed. How do you achieve this?

                                        正解:D

                                        解説:
                                        You can prevent the closure of a General Ledger accounting period if the accounting period for any of the corresponding subledgers is still open, or if incomplete accounting entries or transactions exist for the period.
                                        This can help ensure an effective period close process that validates all transactions are complete and aren't held up during the close. To enable this feature, you need to set the relevant option on the Specify Ledger Options page for each primary ledger. The option is called Prevent General Ledger Period Closure When Open Subledger Periods Exist and it is located in the Period Close section. You can also specify which subledgers to include or exclude from the validation, except for Assets, which is automatically excluded by default. References:
                                        How to Prevent a General Ledger Period from Closing When Open Subledger Periods Exist Period Close Components Review: Prevent General Ledger Period Closure When Open Subledger Periods Exist


                                        質問 # 91
                                        You already ran Translation, but a last-minute adjusting journal entry in your ledger currency was entered and posted after you consolidated your results.
                                        What is Oracle's recommended practice when this occurs?

                                        正解:C

                                        解説:
                                        According to Oracle's documentation, if you enter and post additional journal entries in your ledger currency after you run translation, you should rerun translation for the entire ledger or ledger set to ensure that all balances are translated using the same exchange rates. Then, you should reconsolidate your results to reflect the updated translated balances.Reference:
                                        Using General Ledger, page 9-7: "If you enter and post additional journal entries in your ledger currency after you run translation, you should rerun translation for the entire ledger or ledger set." Using General Ledger, page 9-8: "After you run translation, you can consolidate your results to create a consolidated balance sheet and income statement." Implement General Ledger, page 2-10: "You can translate and consolidate balances as part of the period close process."


                                        質問 # 92
                                        Which two statements are true about balances cubes in General Ledger?

                                        正解:B、E

                                        解説:
                                        Balances cubes are multidimensional databases that store financial balances for interactive reporting and analysis. A balances cube is created for each unique combination of ledger and currency, and it contains dimensions such as chart of accounts segments, periods, scenarios, and other user-defined attributes. New dimensions can be added to a balances cube by using the Manage Balances Cube Dimensions task in General Ledger. Balances cubes are updated automatically when journals are posted in General Ledger, and they can also be refreshed manually by using the Refresh Balances Cube task. Balances cubes are not affected by the Translation or Revaluation processes, as these processes only update the balances tables in General Ledger.Reference:
                                        Overview of Oracle General Ledger Balances Cubes1
                                        Considerations for General Ledger Balances Cubes2
                                        Overview of Oracle Essbase Balances Cubes3


                                        質問 # 93
                                        You have set up Close Monitor for your organization, but when you navigate to the Profit and Loss tab, you see no results for the summarized income statement.
                                        What could be the reason?

                                        正解:D

                                        解説:
                                        The Profit and Loss tab in Close Monitor depends on account group setup. Oracle General Ledger uses account groups to summarize and display financial data for close monitoring, especially income statement balances. If no account group is associated with the ledger set, the Close Monitor cannot derive the summarized profit and loss information required for the tab. This is not primarily an OTBI, trial balance, or Financial Reporting Web Studio configuration issue. Those tools support reporting and analysis, but Close Monitor's summarized income statement view relies on the ledger set being linked to the appropriate account group. Oracle documentation states that financial data displayed in Close Monitor is derived from the account group assigned to the ledger set.


                                        質問 # 94
                                        Which two are valid Data Access Set types? (Choose two.)

                                        正解:C、E

                                        解説:
                                        The two valid Data Access Set types are Full access and Read Only access. A Data Access Set is a security feature that defines the access level that users have to ledger data, such as balances, budgets, or journals. A Data Access Set type is an attribute that determines the type of access that users have to ledger data within a Data Access Set. The two valid Data Access Set types are Full access and Read Only access. Full access allows users to view and enter data for ledger data within a Data Access Set. Read Only access allows users to view but not enter data for ledger data within a Data Access Set. Full Ledger is not a valid Data Access Set type, but an option that determines whether a Data Access Set grants access to all balancing segment values in a ledger or only specific balancing segment values. Primary Balancing Segment Value is not a valid Data Access Set type, but an attribute that identifies the legal entity or business unit for which financial statements are prepared and balanced. Read and Write access is not a valid Data Access Set type, but an alternative term for Full access. Reference: Oracle Financials Cloud: General Ledger 2022 Implementation Professional Objectives - Define Ledgers 12


                                        質問 # 95
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