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Oracle 1z0-1060-25 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Accounting Rules and Processing | - Processing accounting entries - Accounting rules definition and maintenance - Event model and journal generation |
| Configuration and Setup | - Initial setup and enterprise configuration - Ledger and accounting configuration - Subledger accounting setup |
| Data Integration and Transformation | - Data ingestion methods and file-based loads - Mapping and transformation rules |
| Reporting and Reconciliation | - Financial reporting outputs - Reconciliation processes and controls |
| Oracle Accounting Hub Cloud Overview | - Key components and architecture - Purpose and business value of Accounting Hub Cloud |
| Troubleshooting and Maintenance | - Error handling and diagnostics - Performance monitoring and optimization |
Oracle Accounting Hub Cloud 2025Implementation Professional Sample Questions:
1. Your client has implemented the Oracle Cloud Accounting Hub solution and they are importing the transaction data from the source system on a daily basis. While importing the data from the source system, some transactions are not getting accounted properly. They want these invalid transactions purged and the corrected transactions imported again.
Which job would you submit to purge the invalid transactions?
A) Accounting Hub Maintenance Job with Mode set to Purge Invalid or Unaccounted Transactions
B) Purge Invalid and Unaccounted Accounting Hub Transactions Job
C) Purge Accounting Hub Transactions Job
D) Import Accounting Transactions Job with Purge Invalid Transaction parameter set to 'Yes'
2. The cloud client wants to drive an efficient transfer of accounting entries between Subledger Accounting and their General Ledgers. Hence, they are skipping the Post Subledger Journal Entries and Journal Import processes.
Under what three conditions are the improvements to transfer of Subledger Accounting entries to General Ledger enhancement ignored?
A) When the Multiperiod Accounting process is submitted
B) When online accounting is submitted from the transaction pages
C) When accounting is transferred outside of Fusion General Ledger
D) When the Create Accounting process is submitted in Final and Post modes
3. The Unified Migration option helps move functional setup data from one instance to another.
Which TWO statements are true about Unified Migration?
A) There is no need to import the migration set into a sandbox instance before it is applied to the target environment
B) You can optionally migrate only the new changes if both environments are synchronized
C) The Unified Migration option requires registration of the target environment in the source environment
D) You need to manually download the configuration set from the source and manually upload it into the target
4. You are implementing Accounting Hub for one of your client organizations in the US. The organization has two legal entities, loans and insurance. Both the legal entities have agreed to share the same chart of accounts and convention. However, the loans legal entity will use the January to December calendar, while the insurance legal entity will use the July to June calendar.
How many primary ledgers will you create to achieve this requirement?
A) Two
B) Four
C) One
D) Three
5. Where do you define the currency conversion type to be used in converting accounted amount for reporting currency ledger?
A) Manage Subledger Accounting Options
B) Manage Accounting Attribute Assignments
C) Specify Ledger Options
D) Manage Reporting Currencies
Solutions:
| Question # 1 Answer: A | Question # 2 Answer: A,B,D | Question # 3 Answer: B,C | Question # 4 Answer: A | Question # 5 Answer: D |
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