Oracle 1z1-408 考試概覽:
| 認證廠商: | Oracle |
| 考試名稱: | Oracle Fusion Financials:總帳管理2014必備知識 |
| 考試代碼: | 1Z0-408 |
| 相關認證: | Oracle Fusion Financials 2014 認證實施專家 |
| 支援語言: | 英文 |
| 考試形式: | 選擇題 |
| 範例考題: | Oracle 1z1-408 範例考題 |
| 考試方式: | 由 Oracle 授權之測驗機構提供考試服務,採監考模式進行(依考試當下 Oracle 規定,可選擇實體考場或線上應考)。 |
| 必備條件: | 官方未公開列出正式的應考先修考試;Oracle 建議具備 Oracle Fusion Financials 與總帳管理實施相關概念知識。 |
| 官方大綱網址: | https://education.oracle.com/ |
Oracle 1z1-408 考試大綱主題:
| 章節 | 目標 |
|---|---|
| 主題 1: 財務報表編製與分析 | - 報表功能
|
| 主題 2: 傳票作業處理 | - 傳票管理
|
| 主題 3: 集團往來與合併報表 | - 總帳管理進階功能
|
| 主題 4: 總帳管理基礎知識 | - 總帳管理概覽
|
| 主題 5: 分攤作業與期間結算 | - 期末結算作業
|
| 主題 6: 企業架構與設定 | - 企業基礎設定
|
最新的 Oracle Applications 1z1-408 免費考試真題:
1. Identify three differences between Oracle Transactional Business Intelligence (OTBI) and Oracle Business Intelligence Applications (OBIA).
A) Cloud customers can use both OTBI and OBIA.
B) OBIA is based on the universal data warehouse design with different prebuilt adapters that canconnect to various source application
C) OBIA works for multiple sources including E-Business Suite, PeopleSoft, JD Edwards, SAP, andFusion Applications.
D) Both OBIA and OTBI provide a set of predefined reports and dashboards and a library of metrics that help to measure business performance
E) OTBI allows you to create custom reports from real-time transactional data against thedatabase directly
2. Your customer has only licensed Fusion Financials and wants to use approval workflows.
Using which page to enter users and assign roles does Oracle consider best practice?
A) Manage Users
B) Oracle Identity Management (OIM)
C) Hire a New Ernployee
D) Financials not a stand-alone product
E) Policy Manager (APM)
3. Your customer has many eliminating entries to eliminate intercompany balances. The General Ledge does not include a purpose-built Consolidation feature.
How would you automate the process of creating eliminating entries, assuming your customer is not using Oracle Hyperion Financial Close Management?
A) Create a manual journal that includes the eliminating entries, and then create a copy of the Journal batch every period.
B) Use the General Ledger's Calculation Manager to define an allocation definition to eliminate entries that you can generate every period.
C) Use the spreadsheet template that is accessed from the "Create Journal in Spreadsheet" task and import the spreadsheet with the eliminating entries every period.
D) There is no way to automate this process if the customer is not using Oracle Hyperion Financial Close Management.
4. Your customer is closing their period and they are using Fusion Intercompany to create physical invoices in Fusion Payables and Receivables.
What is the correct order of steps to close Fusion sub ledgers, Fusion Intercompany, and Fusion General Ledger?
A) Close the related intercompany period, close Fusion Payables and Receivables periods, and then Fusion General Ledger.
B) Close Fusion Payables and Receivables periods, close the related intercompany period, and then close the Fusion General Ledger's period.
C) Close Fusion Payables and Receivables periods, close Fusion General Ledger, and then close the related intercompany period
D) You only need to close Fusion Payables and Receivables periods followed by the Fusion GeneralLedger's period.
5. When working with Essbase, versions of the tree hierarchy as defined in the Fusion not available in the Essbase balances cube.
What should you do to correct this situation?
A) Make sure the tree is active.
B) Make sure to flatten the rows of the tree version.
C) Redeploy the chart of accounts.
D) Make sure the tree version was published successfully.
問題與答案:
| 問題 #1 答案: C,D,E | 問題 #2 答案: B | 問題 #3 答案: D | 問題 #4 答案: A | 問題 #5 答案: C |

下載最新試用版
908位客戶反饋
我們對我們的產品非常有信心,所以我們不提供会给客户带去麻煩的產品。








58.49.173.* -
通过學習 VCESoft 網站的 1z1-408 考試學習資料后,我成功的通過了我的 1z1-408 考試,題庫是有效的,足以幫助我通過考試。