최신Oracle Cost Management Cloud 2017 Implementation Essentials - 1z1-987무료샘플문제
문제1
Which three cost planning tasks can be performed in the Cost Accounting work area?
Which three cost planning tasks can be performed in the Cost Accounting work area?
정답: C,D,E
설명: (KoreaDumps 회원만 볼 수 있음)
문제2
If the Create Accounting process ends with errors or warnings, which three statements outline places you can go to get more detailed information about the specific errors and warnings?
If the Create Accounting process ends with errors or warnings, which three statements outline places you can go to get more detailed information about the specific errors and warnings?
정답: B
문제3
You have just finished modifying an accounting method. What is the final step to complete the accounting method configuration?
You have just finished modifying an accounting method. What is the final step to complete the accounting method configuration?
정답: B
문제4
Which three features are included in Receipt Accounting?
Which three features are included in Receipt Accounting?
정답: B,D,E
설명: (KoreaDumps 회원만 볼 수 있음)
문제5
An invoice is created in a foreign currency. The invoice is not paid until several weeks later. By then, the currency conversion rate has changed.
How do you get the journal line rule to calculate the gain or loss?
An invoice is created in a foreign currency. The invoice is not paid until several weeks later. By then, the currency conversion rate has changed.
How do you get the journal line rule to calculate the gain or loss?
정답: A
문제6
Your client would like to accrue expense items at period end. What subledger journal entry rule set must be created in order for the expense accrual Journal entries to be successfully generated?
Your client would like to accrue expense items at period end. What subledger journal entry rule set must be created in order for the expense accrual Journal entries to be successfully generated?
정답: A
문제7
After all relevant transactions are in Receipt Accounting, which two tasks must be completed for these transactions to be transferred to the General Ledger?
After all relevant transactions are in Receipt Accounting, which two tasks must be completed for these transactions to be transferred to the General Ledger?
정답: A