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Oracle 1z0-1060-25 Dumps

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Total 80 questions

Oracle Accounting Hub Cloud 2025Implementation Professional Questions and Answers

Question 1

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:

Question 2

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 3

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 4

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 5

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 6

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 7

Which is an alternate way to implement a mapping set rule?

Options:

A.

Define a chart of account rule with conditions

B.

Define a flexfield rule with conditions

C.

Define a lookup type rule with conditions

D.

Define an account rule with conditions

Question 8

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 9

To create journal entries, the Create Accounting process takes source data used in accounting rules from tables or views.

What are the tables or views called?

Options:

A.

Mapping sets

B.

Event entities

C.

Source objects

D.

Transaction objects

Question 10

Your client provides loans to their customers. You are appointed as a consultant to implement Accounting Hub Cloud and standardize the accounting process. Your client wants to retrieve the segment values for the debit and credit side of journal entries based on different criteria.

Which FOUR value types should you use in the definition of your account rules to generate journal entries as per the customer's requirement?

Options:

A.

Source

B.

Mapping set

C.

Constant

D.

Account combination

E.

Value set

F.

Account rule

Question 11

Which predefined role allows a user to manage the period close activities in the General Ledger (GL) application?

Options:

A.

Chief Financial Officer (CFO)

B.

Financial Analyst

C.

General Accountant

D.

General Accounting Manager

Question 12

Your customer has four external systems to manage their home loan, auto loan, consumer loan, and personal loan businesses. They decide to implement Accounting Hub to import their transactional data for generating journal entries from these source systems. While evaluating different possibilities, they ask for your suggestion about the sharing of accounting rules for these external systems.

Which implementation setup allows the sharing of accounting rules for all four external systems?

Options:

A.

Two subledgers; one for home loan and auto loan and another for consumer loan and personal loan.

B.

Four subledgers; one for each source system

C.

One subledger for all four source systems

D.

Three subledgers; one for home loan and auto loan, second for consumer loan, and third for personal loan

Page: 1 / 8
Total 80 questions