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1z0-1087-23 Exam Dumps - Oracle Account Reconciliation 2023 Implementation Essentials

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Question # 9

Which two statements are true about Group reconciliations? (Choose two.)

A.

Group reconciliations include other individual reconciliations as children.

B.

You cannot use Data Management to import balances for group reconciliations.

C.

The format for the reconciliation must be enabled for Group Reconciliation.

D.

The Group Detail tab shows data for the group reconciliation sub segments.

E.

You can import balances into periods as pre-mapped data.

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Question # 10

Which two statements are true about reconciliation compliance filters?

A.

They can control the records that you see in the list views.

B.

They can be used by the rules engine.

C.

They allow you to save columns to view records on the screen.

D.

You can apply them against unmatched transactions.

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Question # 11

Which two statements are true about importing and exporting match types? (Choose two.)

A.

Match types are exported to a .zip folder.

B.

Import can update match types with Pending status only.

C.

Match types are exported to comma-separated (CSV) files.

D.

Import can update match types with Approved status only.

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Question # 12

Which two are auto-reconciliation methods? (Choose two.)

A.

Balance Match (%tolerance)

B.

No Data

C.

Balance has not changed

D.

Balance is zero and no activity

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Question # 13

Which expression do you include in the Expression field of the Amount column in an import format to ensure that zero balances are loaded?

A.

Source system

B.

NZP

C.

0

D.

Include Null

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Question # 14

What results if you load balances using Data Management to a period to which you previously imported pre- mapped balances?

A.

The Data Management data load fails.

B.

You are prompted whether to overwrite the pre-mapped balances.

C.

The balances loaded through Data Management overwrite the pre-mapped balances.

D.

The reconciliation takes the balances loaded through Data Management and the pre-mapped balance load, and totals them.

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Question # 15

You want to load balances for both the Entered currency bucket and the Functional currency bucket in a single data load.

Which tool should you use?

A.

‘Import pre-mapped balances’ option in the Periods page

B.

Data Management data load rule

C.

Smart View

D.

Supplemental Data Management form

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Question # 16

You are using EPM Automate commands to automate data load to Account Reconciliation.

In which scenario should you use EPM Automate to load the data through Data Management rather than directly into Account Reconciliation?

A.

Your data includes fields with blank values.

B.

You are loading data to the Reporting currency bucket.

C.

You are loading more than 1000 transactions.

D.

You want to import one concatenated field from the source file, rather than two separate fields.

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