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GENERAL LEDGER 2 seleccion

GENERAL LEDGER 2 seleccion
45問 • 1年前
  • Laura Diaz
  • 通報

    問題一覧

  • 1

    Identify three roles that get access to the reports in the Fusion Accounting Hub Reporting Cloud Service (FAHRCS). (Choose three.)

    GENERAL ACCOUNTANT MANAGER BUSINESS INTELLIGENCE ADMINISTRATOR (BI ADMIN) FINALCIAL ANALYST

  • 2

    You are defining an income statement report. You want to allow viewers of the report to be able to drill down from report balances to the underlying transactions. What so you need to enable?

    DRILL THROUGH IN GRID PROPERTIES

  • 3

    You are creating financial statements and want to have charts, such as a bar graph, automatically inserted to improve the understanding financial results. How would you achieve this?

    WHEN DESIGNING YOUR FINANCIAL STATEMENT USING FINANCIAL REPORT (FR) EMBED A CHART INTO YOUR REPORT

  • 4

    What is intended to be the primary user interface for financial users to access reports?

    FINANCIAL REPORTING CENTER

  • 5

    In Oracle Financials Cloud, there are seven types of reports that can be accessed from the Financial Reporting Center. Which of the following provides the correct list?

    Financial Reports, Account Groups, Smart View Reports, OTBI Analyses, OTBI Dashboards, OTBI Mobile Apps, and BI Publisher Reports

  • 6

    In Financial Cloud, which three reporting tools can be used to access General Ledger balances? (Choose three.)u

    ORACLE TRANSACTIONS BUSINESS INTELLIGENCE FINANCIAL REPORTING STUDIO SMART VIEW

  • 7

    In Oracle Financials Cloud, which user roles get automatic access to Financial Reporting Center? (Choose four)

    GENERAL ACCOUNTANT CASH MANAGER GENERAL ACCOUNTING MANAGER BUDGET MANAGER

  • 8

    Which roles get automatic access to the Financial Reporting Center? (Choose three)

    BUDGET MANAGER GENERAL ACCOUNTING MANAGER GENERAL ACCOUNTANT

  • 9

    John is developing a report in the Financial Reporting Studio and wants to ensure that a user does not have the ability to select the desired values for Ledger and Amount Type while executing the report. The user should be able to select the desired values for all other members. Select the best approach.

    The Ledger and Amount Type should be placed in the Grid POV

  • 10

    Which component is the foundation for a Financial Reporting Studio report?

    GRID

  • 11

    A grid is the foundation of a Financial Reporting Studio report. The components of a grid are: (Choose four)

    PAGES POINT OF VIEW DIMENSION ROWS COLUMNS

  • 12

    You are defining an income statement report using Financial Reporting Studio. Users of the report need to be able to analyze the balances directly from the report. What should you enable to allow this?

    DRILL THROUGH IN GRID PROPERTIES

  • 13

    Which two allow access to the BI Catalog for creating an Oracle Transactional Business Intelligences analysis? .

    ENTERPRISE PERFORMANCE MANAGEMENT WORKSPACE REPORTS AND ANALYTICS SCHEDULED PROCESSES

  • 14

    Which subject area has been enhanced to allow you to drill down from OTBI General Ledger Reports to a General Ledger journal?

    GENERAL LEDGER JOURNALS REAL TIME

  • 15

    Identify three differences between Oracle Transactional Business Intelligence (OTBI) and Oracle Business Intelligence Applications (OBIA). (Choose three.)

    OTBI ALLOWS YOU TO CREATE USERDEFINED REPORTS/CUSTOM REPORTS FROM REALTIME TRANSACTIONAL DATA AGAINST THE DATABASE DIRECTLY OBIA IS BASED ON THE UNIVERSAL DATA WAREHOUSE DESIGN WITH DIFFERENT PREBUILT ADAPTERS THAT CAN CONNECT TO VARIOUS SOURCE APPLICATIONS OBIA WORKS FOR MULTIPLE SOURCES INCLUDING EBUSINESS SUITE PEOPLESOFT JD EDWARDS SAP AND CLOUD APPLICATIONS

  • 16

    Your customer has a requirement for a user-defined infolet to show suspense account reconciliation balances. Which report type should be used to display this information in the infolet?

    ORACLE TRANSACTIONAL BUSINESS INTELLIGENCE ANALYSIS

  • 17

    Which reporting tool is best suited for submitting high-volume transactional reports, such as Invoice Registers or Trial Balance reports, that can be configured to extract the data in Rich Text Format or xml?

    Business Intelligence Publisher (BI Publisher)

  • 18

    How do you hide accounts with no balances showing # Missing in Smart view?

    SELECT THE DATA MISSING CHECK BOX IN THE DATA OPTIONS TAB

  • 19

    When creating your financial statements, you would like to have a chart, such as a bar graph, included in the report output. Which two reporting tools allow you to achieve this? (Choose two.)

    FINANCIAL REPORTING STUDIO SMART VIEW

  • 20

    Which Smart View tool is used to create basic financial reports such as Income Statement and Balance Sheet?

    AD HOC ANALYSIS

  • 21

    Smart view is an add-in from

    MICROSOFT OFFICE

  • 22

    What best describes Smart View reports in Oracle Financials?

    Smart View is a multidimensional pivot analysis tool combined with full Excel functionality

  • 23

    Which option best describes Smart View in Oracle Financials?

    It is a multidimensional pivot Analysis tool that is combined with full Excel functionality

  • 24

    When using the Smart View, what function should you use to generate multiple reports from dimension values using the same grid structure?

    CASCADING

  • 25

    Which of the following can you access from the General Accounting Dashboard? (Choose two)

    ACCOUNT INSPECTOR ACCOUNT MONITOR

  • 26

    Account Inspector allows a user to perform multi-dimensional analysis, slice and dice information, and perform pivoting within a webpage.

    TRUE

  • 27

    What are not General Accounting Infolets? (Choose two)

    MARGINS PERIOD CLOSE

  • 28

    Which of the following are seeded General Accounting Infolets? (Choose three)

    CLOSE CALENDAR ALLOCATIONS JOURNALS

  • 29

    Which of the following statements best describe the Account Monitor functionality? (Choose three)

    CREATE NEW ACCOUNT GROUPS REVIEW BUDGET VERSUS ACTUAL BALANCES MONITOR KEY ACCOUNT BALANCES IN REAL TIME

  • 30

    Your new accountants have been making mistakes in reconciling accounts assigned to them. Your account balances have either spiked or dropped 30-40% every period due to human error. This causes delays in reconciliation. What feature can you use to be proactively notified of account anomalies in a more timely manner?

    ACCOUNT MONITOR

  • 31

    You want to monitor the close process of all your financial subledgers and ledgers. How can you quickly obtain this information?

    USE CLOSE MONITOR IN GENERAL ACCOUNTING DASHBOARD

  • 32

    You want to be notified of anomalies in certain account balances in real time. What is the most efficient way to do this?

    yu

  • 33

    Where can you view Account Groups? (Choose three)

    FINANCIAL REPORTING CENTRE GENERAL ACCOUNTING INFOLETS ACCOUNT MONITOR

  • 34

    Where can you view Account Groups? (Choose two)

    ACCOUNT MONITOR GENERAL ACCOUNTING INFOLETS

  • 35

    Which General Accounting Infolets can display Account Group results (Choose three)

    ALLOCATIONS EXPENSES REVENUE

  • 36

    Which tool can you use to create a Financial Income Statement?

    ACCOUNT INSPECTOR

  • 37

    Your Financial Analyst needs to interactively analyze General Ledger balances with the ability to drill down to originating transactions. Which three features facilitate this? (Choose three.)

    ACCOUNT INSPECTOR ACCOUNT MONITOR SMART VIEW

  • 38

    You have loaded your budget data into general ledger. Which two tools should be used to analyze actual versus budget variance data? (Assume the customer has not implemented budgetary or encumbrance control)

    ACCOUNT MONITOR SMART VIEW

  • 39

    The budget managers specify the budget accounts they want to monitor and decide on percentage threshold of funds availability. Where must you define the details while analyzing budget balances in the Budget Account Monitor page?b

    BUDGET ACCOUNT GROUP

  • 40

    You are reconciling your subledger balances and you need a report that includes beginning and ending account balances and all transactions that constitute the account’s activities.What type of report will provide this type of information?

    ACCOUNT ANALYSIS REPORTS

  • 41

    Which dimension indicates whether the balances are actual, allocated, total for allocations, encumbrance, budgeted, or forecast?

    SCENARIO

  • 42

    In Oracle Financials Cloud, which dimension has a default member value that can be used for a report or an analysis?

    BALANCE AMOUNT

  • 43

    You have set up a supporting reference with balances to capture revenue by account manager. Which option should you use to view the supporting reference balances?

    AN OTBI ANALYSIS

  • 44

    Which reports show you differences between your subledger balances and General Ledger balances? (choose three)

    Payables Trial Balance, Receivables Trial Balance, and General Ledger Trial Balance reports Payables to Ledger Reconciliation Report and the Receivables to Ledger Reconciliation Report General Ledger Financial Statements and the Accounts Payable and Accounts Receivables Invoice Registers

  • 45

    Which statement is true about balance forward billing?

    keke

  • rece

    rece

    Laura Diaz · 5回閲覧 · 60問 · 2年前

    rece

    rece

    5回閲覧 • 60問 • 2年前
    Laura Diaz

    rece 2

    rece 2

    Laura Diaz · 60問 · 1年前

    rece 2

    rece 2

    60問 • 1年前
    Laura Diaz

    RECE

    RECE

    Laura Diaz · 53問 · 1年前

    RECE

    RECE

    53問 • 1年前
    Laura Diaz

    REW

    REW

    Laura Diaz · 39問 · 1年前

    REW

    REW

    39問 • 1年前
    Laura Diaz

    RECE 2

    RECE 2

    Laura Diaz · 53問 · 1年前

    RECE 2

    RECE 2

    53問 • 1年前
    Laura Diaz

    REW 2

    REW 2

    Laura Diaz · 39問 · 1年前

    REW 2

    REW 2

    39問 • 1年前
    Laura Diaz

    GENERAL LEDGER 1 selección

    GENERAL LEDGER 1 selección

    Laura Diaz · 40問 · 1年前

    GENERAL LEDGER 1 selección

    GENERAL LEDGER 1 selección

    40問 • 1年前
    Laura Diaz

    GENERAL LEDGER 3 SELECCIÓN

    GENERAL LEDGER 3 SELECCIÓN

    Laura Diaz · 44問 · 1年前

    GENERAL LEDGER 3 SELECCIÓN

    GENERAL LEDGER 3 SELECCIÓN

    44問 • 1年前
    Laura Diaz

    GENERAL LEDGER 4 SELECCION

    GENERAL LEDGER 4 SELECCION

    Laura Diaz · 44問 · 1年前

    GENERAL LEDGER 4 SELECCION

    GENERAL LEDGER 4 SELECCION

    44問 • 1年前
    Laura Diaz

    GENERAL LEDGER 5 SELECCION

    GENERAL LEDGER 5 SELECCION

    Laura Diaz · 17問 · 1年前

    GENERAL LEDGER 5 SELECCION

    GENERAL LEDGER 5 SELECCION

    17問 • 1年前
    Laura Diaz

    GENERAL LEDGER PARTE 2 EXAMEN 1

    GENERAL LEDGER PARTE 2 EXAMEN 1

    Laura Diaz · 25問 · 1年前

    GENERAL LEDGER PARTE 2 EXAMEN 1

    GENERAL LEDGER PARTE 2 EXAMEN 1

    25問 • 1年前
    Laura Diaz

    GENERAL LEDGER PARTE 2 EXAMEN 2

    GENERAL LEDGER PARTE 2 EXAMEN 2

    Laura Diaz · 23問 · 1年前

    GENERAL LEDGER PARTE 2 EXAMEN 2

    GENERAL LEDGER PARTE 2 EXAMEN 2

    23問 • 1年前
    Laura Diaz

    GENERAL LEDGER PARTE 2 EXAMEN 3

    GENERAL LEDGER PARTE 2 EXAMEN 3

    Laura Diaz · 40問 · 1年前

    GENERAL LEDGER PARTE 2 EXAMEN 3

    GENERAL LEDGER PARTE 2 EXAMEN 3

    40問 • 1年前
    Laura Diaz

    GENERAL LEDGER PARTE 2 EXAMEN 4

    GENERAL LEDGER PARTE 2 EXAMEN 4

    Laura Diaz · 35問 · 1年前

    GENERAL LEDGER PARTE 2 EXAMEN 4

    GENERAL LEDGER PARTE 2 EXAMEN 4

    35問 • 1年前
    Laura Diaz

    GENERAL LEDGER PARTE 2 EXAMEN 5

    GENERAL LEDGER PARTE 2 EXAMEN 5

    Laura Diaz · 22問 · 1年前

    GENERAL LEDGER PARTE 2 EXAMEN 5

    GENERAL LEDGER PARTE 2 EXAMEN 5

    22問 • 1年前
    Laura Diaz

    PROCESOS EXAMEN 1

    PROCESOS EXAMEN 1

    Laura Diaz · 38問 · 1年前

    PROCESOS EXAMEN 1

    PROCESOS EXAMEN 1

    38問 • 1年前
    Laura Diaz

    PROCESOS EXAMEN 2

    PROCESOS EXAMEN 2

    Laura Diaz · 21問 · 1年前

    PROCESOS EXAMEN 2

    PROCESOS EXAMEN 2

    21問 • 1年前
    Laura Diaz

    rece

    rece

    Laura Diaz · 60問 · 1年前

    rece

    rece

    60問 • 1年前
    Laura Diaz

    rece

    rece

    Laura Diaz · 152問 · 1年前

    rece

    rece

    152問 • 1年前
    Laura Diaz

    rece

    rece

    Laura Diaz · 152問 · 1年前

    rece

    rece

    152問 • 1年前
    Laura Diaz

    PRUEBA

    PRUEBA

    Laura Diaz · 24問 · 1年前

    PRUEBA

    PRUEBA

    24問 • 1年前
    Laura Diaz

    jsks

    jsks

    Laura Diaz · 6問 · 1年前

    jsks

    jsks

    6問 • 1年前
    Laura Diaz

    問題一覧

  • 1

    Identify three roles that get access to the reports in the Fusion Accounting Hub Reporting Cloud Service (FAHRCS). (Choose three.)

    GENERAL ACCOUNTANT MANAGER BUSINESS INTELLIGENCE ADMINISTRATOR (BI ADMIN) FINALCIAL ANALYST

  • 2

    You are defining an income statement report. You want to allow viewers of the report to be able to drill down from report balances to the underlying transactions. What so you need to enable?

    DRILL THROUGH IN GRID PROPERTIES

  • 3

    You are creating financial statements and want to have charts, such as a bar graph, automatically inserted to improve the understanding financial results. How would you achieve this?

    WHEN DESIGNING YOUR FINANCIAL STATEMENT USING FINANCIAL REPORT (FR) EMBED A CHART INTO YOUR REPORT

  • 4

    What is intended to be the primary user interface for financial users to access reports?

    FINANCIAL REPORTING CENTER

  • 5

    In Oracle Financials Cloud, there are seven types of reports that can be accessed from the Financial Reporting Center. Which of the following provides the correct list?

    Financial Reports, Account Groups, Smart View Reports, OTBI Analyses, OTBI Dashboards, OTBI Mobile Apps, and BI Publisher Reports

  • 6

    In Financial Cloud, which three reporting tools can be used to access General Ledger balances? (Choose three.)u

    ORACLE TRANSACTIONS BUSINESS INTELLIGENCE FINANCIAL REPORTING STUDIO SMART VIEW

  • 7

    In Oracle Financials Cloud, which user roles get automatic access to Financial Reporting Center? (Choose four)

    GENERAL ACCOUNTANT CASH MANAGER GENERAL ACCOUNTING MANAGER BUDGET MANAGER

  • 8

    Which roles get automatic access to the Financial Reporting Center? (Choose three)

    BUDGET MANAGER GENERAL ACCOUNTING MANAGER GENERAL ACCOUNTANT

  • 9

    John is developing a report in the Financial Reporting Studio and wants to ensure that a user does not have the ability to select the desired values for Ledger and Amount Type while executing the report. The user should be able to select the desired values for all other members. Select the best approach.

    The Ledger and Amount Type should be placed in the Grid POV

  • 10

    Which component is the foundation for a Financial Reporting Studio report?

    GRID

  • 11

    A grid is the foundation of a Financial Reporting Studio report. The components of a grid are: (Choose four)

    PAGES POINT OF VIEW DIMENSION ROWS COLUMNS

  • 12

    You are defining an income statement report using Financial Reporting Studio. Users of the report need to be able to analyze the balances directly from the report. What should you enable to allow this?

    DRILL THROUGH IN GRID PROPERTIES

  • 13

    Which two allow access to the BI Catalog for creating an Oracle Transactional Business Intelligences analysis? .

    ENTERPRISE PERFORMANCE MANAGEMENT WORKSPACE REPORTS AND ANALYTICS SCHEDULED PROCESSES

  • 14

    Which subject area has been enhanced to allow you to drill down from OTBI General Ledger Reports to a General Ledger journal?

    GENERAL LEDGER JOURNALS REAL TIME

  • 15

    Identify three differences between Oracle Transactional Business Intelligence (OTBI) and Oracle Business Intelligence Applications (OBIA). (Choose three.)

    OTBI ALLOWS YOU TO CREATE USERDEFINED REPORTS/CUSTOM REPORTS FROM REALTIME TRANSACTIONAL DATA AGAINST THE DATABASE DIRECTLY OBIA IS BASED ON THE UNIVERSAL DATA WAREHOUSE DESIGN WITH DIFFERENT PREBUILT ADAPTERS THAT CAN CONNECT TO VARIOUS SOURCE APPLICATIONS OBIA WORKS FOR MULTIPLE SOURCES INCLUDING EBUSINESS SUITE PEOPLESOFT JD EDWARDS SAP AND CLOUD APPLICATIONS

  • 16

    Your customer has a requirement for a user-defined infolet to show suspense account reconciliation balances. Which report type should be used to display this information in the infolet?

    ORACLE TRANSACTIONAL BUSINESS INTELLIGENCE ANALYSIS

  • 17

    Which reporting tool is best suited for submitting high-volume transactional reports, such as Invoice Registers or Trial Balance reports, that can be configured to extract the data in Rich Text Format or xml?

    Business Intelligence Publisher (BI Publisher)

  • 18

    How do you hide accounts with no balances showing # Missing in Smart view?

    SELECT THE DATA MISSING CHECK BOX IN THE DATA OPTIONS TAB

  • 19

    When creating your financial statements, you would like to have a chart, such as a bar graph, included in the report output. Which two reporting tools allow you to achieve this? (Choose two.)

    FINANCIAL REPORTING STUDIO SMART VIEW

  • 20

    Which Smart View tool is used to create basic financial reports such as Income Statement and Balance Sheet?

    AD HOC ANALYSIS

  • 21

    Smart view is an add-in from

    MICROSOFT OFFICE

  • 22

    What best describes Smart View reports in Oracle Financials?

    Smart View is a multidimensional pivot analysis tool combined with full Excel functionality

  • 23

    Which option best describes Smart View in Oracle Financials?

    It is a multidimensional pivot Analysis tool that is combined with full Excel functionality

  • 24

    When using the Smart View, what function should you use to generate multiple reports from dimension values using the same grid structure?

    CASCADING

  • 25

    Which of the following can you access from the General Accounting Dashboard? (Choose two)

    ACCOUNT INSPECTOR ACCOUNT MONITOR

  • 26

    Account Inspector allows a user to perform multi-dimensional analysis, slice and dice information, and perform pivoting within a webpage.

    TRUE

  • 27

    What are not General Accounting Infolets? (Choose two)

    MARGINS PERIOD CLOSE

  • 28

    Which of the following are seeded General Accounting Infolets? (Choose three)

    CLOSE CALENDAR ALLOCATIONS JOURNALS

  • 29

    Which of the following statements best describe the Account Monitor functionality? (Choose three)

    CREATE NEW ACCOUNT GROUPS REVIEW BUDGET VERSUS ACTUAL BALANCES MONITOR KEY ACCOUNT BALANCES IN REAL TIME

  • 30

    Your new accountants have been making mistakes in reconciling accounts assigned to them. Your account balances have either spiked or dropped 30-40% every period due to human error. This causes delays in reconciliation. What feature can you use to be proactively notified of account anomalies in a more timely manner?

    ACCOUNT MONITOR

  • 31

    You want to monitor the close process of all your financial subledgers and ledgers. How can you quickly obtain this information?

    USE CLOSE MONITOR IN GENERAL ACCOUNTING DASHBOARD

  • 32

    You want to be notified of anomalies in certain account balances in real time. What is the most efficient way to do this?

    yu

  • 33

    Where can you view Account Groups? (Choose three)

    FINANCIAL REPORTING CENTRE GENERAL ACCOUNTING INFOLETS ACCOUNT MONITOR

  • 34

    Where can you view Account Groups? (Choose two)

    ACCOUNT MONITOR GENERAL ACCOUNTING INFOLETS

  • 35

    Which General Accounting Infolets can display Account Group results (Choose three)

    ALLOCATIONS EXPENSES REVENUE

  • 36

    Which tool can you use to create a Financial Income Statement?

    ACCOUNT INSPECTOR

  • 37

    Your Financial Analyst needs to interactively analyze General Ledger balances with the ability to drill down to originating transactions. Which three features facilitate this? (Choose three.)

    ACCOUNT INSPECTOR ACCOUNT MONITOR SMART VIEW

  • 38

    You have loaded your budget data into general ledger. Which two tools should be used to analyze actual versus budget variance data? (Assume the customer has not implemented budgetary or encumbrance control)

    ACCOUNT MONITOR SMART VIEW

  • 39

    The budget managers specify the budget accounts they want to monitor and decide on percentage threshold of funds availability. Where must you define the details while analyzing budget balances in the Budget Account Monitor page?b

    BUDGET ACCOUNT GROUP

  • 40

    You are reconciling your subledger balances and you need a report that includes beginning and ending account balances and all transactions that constitute the account’s activities.What type of report will provide this type of information?

    ACCOUNT ANALYSIS REPORTS

  • 41

    Which dimension indicates whether the balances are actual, allocated, total for allocations, encumbrance, budgeted, or forecast?

    SCENARIO

  • 42

    In Oracle Financials Cloud, which dimension has a default member value that can be used for a report or an analysis?

    BALANCE AMOUNT

  • 43

    You have set up a supporting reference with balances to capture revenue by account manager. Which option should you use to view the supporting reference balances?

    AN OTBI ANALYSIS

  • 44

    Which reports show you differences between your subledger balances and General Ledger balances? (choose three)

    Payables Trial Balance, Receivables Trial Balance, and General Ledger Trial Balance reports Payables to Ledger Reconciliation Report and the Receivables to Ledger Reconciliation Report General Ledger Financial Statements and the Accounts Payable and Accounts Receivables Invoice Registers

  • 45

    Which statement is true about balance forward billing?

    keke