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Latest Oracle 1z0-1056-23 Dumps for success in Actual Exam Jul-2024 [Q15-Q37]




Latest Oracle 1z0-1056-23 Dumps for success in Actual Exam Jul-2024]

Realistic 1z0-1056-23 100% Pass Guaranteed Download  Exam Q&A

Q15. When entering the Customer import upload spreadsheet, which two columns, if populated with *NULL will remove the existing values on loading?

 
 
 
 

Q16. You are asked to amend subledger accounting and reporting to include origin and history of Receivable transactions.
Which three event attributes should be used?

 
 
 
 
 

Q17. You are reviewing an invoice on the Review Transaction page. After clicking the Sales Credit subtab. you notice the following breakdown: Revenue Allocation and Nonrevenue Allocation.
What is Nonrevenue Allocation?

 
 
 
 

Q18. As an implementer. while importing data from a legacy/third-parly system, you forgot to populate the accounting distribution in the RA_INTERFACE_DlSTRIBUTIONS_ALL table. What happens when you run accounting?

 
 
 
 

Q19. The AutoAc counting rule for the Revenue account is defined as follows:

When entering a manual invoice, the revenue account code combination is incomplete with the Department segment left blank. Which are the three reasons for this?

 
 
 
 
 

Q20. Manage Collectors
Scenario:
You are responsible for defining a new collector. who will perform collection activities across multiple business units.
Task:
Create a new Collector. where:
* Name of the collector is (Replace XX with 03. which is your allocated User ID.)
* Collector must be available to all business units.
* Collector maps to employee FASXX Student (Replace xx with 03, which is your allocated User ID.)

Q21. Manage Balance Forward Billing Cycles and Payment Terms
Scenario
You are a consultant for a client who is implementing the Balance Forward Billing feature in Oracle Financials Cloud. You have been asked to define Balance Forward Billing Cycle as well as Balance Forward Billing Payment Terms so that your client can generate consolidated bills.
Task:
Create Balance Forward Billing Cycle, where:
* Name of the cycle is XXCycle (Replace XX with 03. which is your allocated user ID.)
* Bills are generated every day
* Cycle is effective as Of January 1,2023

Q22. You are an IT contractor for a client who wants to increase internal controls on bank accounts set up in the Cash Management application. According to their new policy, a Cash Manager s ability to add. review, or make changes to bank accounts must be regionalized and restricted by their org structure.
Which statement is true about the restrictions applied to the setup?

 
 
 
 

Q23. Which three receipt types can be reversed in the Cloud?

 
 
 
 
 

Q24. Manage Aging Methods
Scenario
Your organization needs to create their own a-bucket aging method for reporting purposes.
Task
Create a new 4-bucket Aging Method in the Collections application, where:
* Name Of the aging method is XXAging Method (Replace XX with 03, which is your allocated User ID.)
* Aging method is accessible to all business units
* Aging buckets are 45 days apart
* Last bucket is 91 days

Q25. Upon approval of a remittance batch of type Factored with Recourse, the Receivables application creates a receipt and establishes risk.
How does Receivables establish risk?

 
 
 
 

Q26. In Collections, strategies can be executed based on the wait times defined on a strategy task. When the feature is enabled, you can also assign wait times for strategies based on their transaction type. Which condition must be set for the transaction level when defining a new strategy task by transaction type?

 
 
 
 

Q27. it has been decided that when processing customer payments using lockbox one customer can pay for another customer’s transaction.
Which two steps will help achieve this?

 
 
 
 
 

Q28. Manage Receipt Classes and Methods
Scenario
Supremo US Business unit needs to capture customer payments that will be reconciled in the Cash Management application. You need to define a receipt class and receipt method, and assign the appropriate bank account to meet this requirement.
Task:
Create Receipt Method. where:
* Name of the new receipt method is XXCheck (Replace XX with 03. which is your allocated User ID.)
* Receipt method must be effective as of January 1. 2023



Oracle 1z0-1056-23 Exam Syllabus Topics:

TopicDetails
Topic 1
  • Configure Revenue for Receivables
  • Managing Customer Billing
  • Manage AutoInvoice Corrections
Topic 2
  • Create and Process Bills Receivables Remittances
  • Report with Oracle Transactional Business Intelligence (OTBI)
Topic 3
  • Configure and Use Oracle Bill Management
  • Manage Account Receivables Reconciliation
Topic 4
  • Manage Automatic Receipts and Funds Capture
  • Configure Integration with Other Applications
Topic 5
  • Manage Resources, Salesperson, Sales credits, and Salesperson account references
  • Configure Sub Ledger Accounting
Topic 6
  • Create and Process Receipt Exceptions
  • Configuring and Using Advanced Collections

 

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Post date: 2024-07-15 10:58:18
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