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Oracle 1Z0-1060-20日本語 Exam Syllabus Topics:

SectionWeightObjectives
Implementation and Security10%- Administration and Security
  • 1. User management
  • 2. Role-based security
  • 3. Implementation lifecycle
  • 4. Best practices and troubleshooting
Reporting and Inquiry15%- Reporting Capabilities
  • 1. Transaction drill-down
  • 2. Accounting Hub reporting
  • 3. Journal inquiry
  • 4. Reconciliation reporting
Source System Integration20%- Transaction Data Integration
  • 1. File-based data import
  • 2. Transaction object configuration
  • 3. Source data mapping
  • 4. Source system setup
  • 5. Source system registration
Accounting Hub Overview10%- Accounting Hub Fundamentals
  • 1. Accounting Hub architecture
  • 2. Accounting Hub business benefits
  • 3. Source systems integration
  • 4. Subledger Accounting overview
Accounting Rules and Configuration30%- Subledger Accounting Configuration
  • 1. Account rules
  • 2. Mapping sets
  • 3. Description rules
  • 4. Supporting references
  • 5. Accounting methods
  • 6. Journal entry rules
Transaction Processing15%- Accounting Processing
  • 1. Transaction validation
  • 2. Transfer to General Ledger
  • 3. Error handling and diagnostics
  • 4. Accounting generation

Oracle Accounting Hub Cloud 2020 Implementation Essentials (1Z0-1060-20日本語版) Sample Questions:

1. ソースシステムからのデータを分析する過程で、補助元帳仕訳を作成するために使用できる信頼できる金額がないことがわかります。
この課題をどのように解決できますか?

A) 仕訳明細ルールでカスタム数式を使用して金額を導き出します。
B) 補足参照でカスタム数式を使用して、金額を導き出します。
C) アカウントルールでカスタム数式を使用して金額を導き出します。
D) 説明ルールでカスタム数式を使用して金額を導き出します。


2. マッピングセットの入力値を検証できる2つのオプションはどれですか?

A) ルックアップタイプ
B) 値セット
C) セグメント値
D) 勘定科目表セグメント


3. マッピングセットルールを実装する別の方法はどれですか?

A) 条件付きのルックアップタイプルールを定義します。
B) 条件付きのアカウントルールを定義します。
C) 条件付きの勘定科目表ルールを定義します。
D) 条件付きのフレックスフィールドルールを定義します。


4. 「住宅保険」会社は住宅保険サービスを提供しています。顧客から受け取った住宅保険の支払いを処理するシステムを社内で構築しています。プロセスの最終結果は、スプレッドシート内の個々の仕訳入力のリストで構成されます。安全で監査可能なリポジトリにすべてのジャーナルエントリを取得するための要件が​​あります。アクセスは厳選されたスタッフに限定されます。さらに、ジャーナルエントリをスライスおよびダイシングするための高度なレポートおよび分析ツールを使用して、エントリをレポートおよび表示できます。
保険料保険料は、保険契約の対象期間全体の収益として認識されます。各会計期間の保険料の定期的な仕訳を生成するために設定する必要がある2種類の仕訳は何ですか?

A) 複数期間と認識
B) 逆転と認識
C) オフセットと認識
D) 延期と承認


5. アカウンティングハブクラウドでアカウンティング処理を承認するために割り当てる必要がある義務の役割は何ですか?

A) 会計ハブの輸入関税の役割
B) 会計ハブは仕訳入力義務の役割を作成および投稿します
C) 会計ハブは会計義務の役割を作成します
D) 会計ハブ統合義務の役割


Solutions:

Question # 1
Answer: A
Question # 2
Answer: A,B
Question # 3
Answer: B
Question # 4
Answer: D
Question # 5
Answer: D

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