1z0 1056 AR PDF
1z0 1056 AR PDF
1z0 1056 AR PDF
Question #:1
When discussing the Receivables to Ledger Reconciliation Report with your customer, you are asked a
number of questions about how to run the report.
A. You can exclude unidentified receipts, but you cannot exclude on-account activities and unapplied
receipts.
B. You cannot exclude on-account activities, unapplied receipts, and unidentified receipts.
C. You can include or exclude intercompany transactions, or you can reconcile by intercompany activity
only.
Answer: C
Explanation
References:
Question #:2
Your Customer Upload Batch with an error and you identify the error as being due to an incorrect Payment
Method.
Answer: B
Question #:3
When deciding how to set up the system to recognize revenue, it is important to understand the extent of
revenue deferral and the subsequent timing of revenue recognition.
Which two statements are true when you consider that recognition depends on the nature of the contingency?
(Choose two.)
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A. Time-based contingencies can expire, but the contingency will have to be removed manually before the
revenue is recognized if payment is not due yet.
B. Pre-billing customer acceptance clauses require the recording of customer acceptance in the feeder
system, or its expiration, before importing into Receivables for invoicing. Customer acceptance or its
expiration must occur before the contingency can be removed and the order can be imported into
Receivables for invoicing.
C. Post-billing customer acceptance clauses must expire (implicit acceptance), or be manually accepted
(explicit acceptance), before the contingency can be removed and revenue recognized.
D. Time-based contingencies must not expire before the contingency can be removed and revenue
recognized.
E. Payment-based contingencies do not always require payment before the contingency can be removed
and revenue recognized.
Answer: B C
Explanation
References:
Question #:4
What information does the Collector see in the Activities List area of the Collections Dashboard?
Answer: D
Explanation
References:
Question #:5
To determine the best approach to converting a client’s data, you must know which setup is set-enabled and
can be shared.
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A. Collectors
C. Revenue Types
D. Receivable Specialists
E. Revenue Contingencies
Answer: B C E
Question #:6
Which two statements are true about Accounting for Tax on Receivables? (Choose two.)
A. For Miscellaneous receipts, if the receivable activity tax rate code source is Activity for the activity type
of Miscellaneous Cash, Receivables use the tax account that is defined on the receivable activity.
B. For Adjustments, if the receivable activity tax rate code source is Invoice, Receivables derive the tax
account from auto-accounting.
C. For Adjustments, if the receivable activity tax rate code source is Invoice, Receivables use the tax
account that is defined on the receivable activity.
D. For Adjustments, if the receivable activity tax rate code source is Invoice, Receivables use the tax
account of the tax code.
E. For Credit memos, if the profile "AR: Use Invoice Accounting for Credit Memos" is set to Yes,
Receivables derive the item distribution from the invoice and the tax account from auto-accounting.
F. For Credit memos, if the profile "AR: Use Invoice Accounting for Credit Memos" is set to No,
Receivables derive the tax account from auto-accounting.
Answer: C E
Question #:7
A. You cannot refund more than either the original receipt amount or the remaining unapplied amount.
C. You can issue a credit card refund to a customer who has made a cash payment.
D.
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Answer: A B
Explanation
References:
Question #:8
How can a Collector assigned to a Customer modify a strategy that is assigned from the Collections
Dashboard?
A. A strategy is automatically assigned based on Scoring and cannot be manually assigned to a Customer
by a Collector.
C. The Collector can modify the strategy from the Profile > Strategies tab.
Answer: A
Question #:9
C. miscellaneous receipts
Answer: C D E
Question #:10
A. Previous Balance
B.
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B. Adjusted Balance
Answer: C D
Explanation
References:
Question #:11
Your customer has three business units. The customer wants to share customer account addresses across these
business units.
A. Create a new reference data set for account addresses and assign it to the business units.
B. Assign a COMMON reference data set to the business units, which share the account addresses.
C. Assign an enterprise reference data set to the business units, which share the account addresses.
D. Create a separate reference data set for each business unit and assign it to each unit.
Answer: B
Explanation
References:
Question #:12
What is the order used to group transaction lines during the AutoInvoice Import process?
A. Transaction Source, Customer Site Profile, Customer Account Profile, system options
B. System options, Customer Site Profile, Transaction Source, Customer Account Profile
C. Transaction Source, Customer Account Profile, Customer Site Profile, system options
D. Transaction Source, Customer Account Profile, system options, Customer Site Profile
Answer: A
Explanation
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References:
Question #:13
A Billing Specialist has created and completed an invoice for $100 USD for Customer A. The Specialist prints
the invoice and realizes that the invoice should have been created for Customer B. The accounting for the
transaction for Customer A is posted to the General Ledger.
A. Create an adjustment for the entire amount and create a negative adjustment for Customer B.
B. Create an on-account credit memo for $100 USD for the invoice and enter a new invoice for Customer
B.
C. Change the status of the invoice to Incomplete and enter a new invoice for Customer B.
D. Navigate to the credit transaction link in the Billing work area, credit the entire amount, and enter a new
invoice for Customer B.
Answer: A
Question #:14
You schedule print runs of transactions and balance forward bills according to the needs of your enterprise.
A. It is not recommended to print transactions and balance forward bills directly from BI Publisher.
B. If you have printed a transaction, the View Print button will not display a preview of the print.
C. If you have not printed a transaction, the View Print button (Preview of Print) displays the transaction
according to the default template in BI Publisher.
D. It is recommended that you always print directly from BI Publisher to give you more control over the
templates in case you need to change them.
E. Both the transaction, or each transaction in a balance forward bill, will be marked as printed in the
system.
Answer: C D E
Question #:15
Which statement is true when you create an Implementation Project for Oracle Financials Cloud?
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B. You must plan your Implementation Project carefully because you cannot delete it or make changes
later.
C. You must select the offering "Financials" and each individual product or option to perform the setup for
each product in Oracle Financials Cloud.
D. When you select the offering "Financials," it automatically allows you to perform the setup for all
Oracle Financials Cloud products.
E. You need to make only the project name unique, and then you can perform the setup for any product
family, such as Financials, Procurement, Human Capital Management, and Supply Chain Management.
Answer: E
Question #:16
What are the three setup steps required to implement the Lockbox feature? (Choose three.)
B. late charges
D. Receipt Sources
Answer: A C D
Question #:17
In which two ways would you configure Satisfaction Method (SM) and Satisfaction Measurement Model
(SMM) in Revenue Management to recognize revenue for performance obligations over time? (Choose two.)
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Answer: C E
Question #:18
Your customer wants to override the calculated tax line amount for their receivable transaction.
What steps should the customer perform to ensure that only one of their employees has this privilege?
A. Enable "Allow override of calculated tax lines" within the tax configuration owner options for the
receivable invoice event and grant the employee the "Tax Manager <Business Unit>" data role.
B. Enable the "Allow tax rate override" and "Allow manual tax lines" profiles at the user level, set, the
value to Yes for the selected employee, and grant the "Tax Manager <Business Unit>" data role to the
employee.
C. Enable "Allow override of calculated tax lines" within the tax configuration owner options for the
receivable invoice event and set the "Transaction Tax Line Override" profile option to Yes for the
selected employee.
D. Set the "Transaction Tax Line Override" profile option to Yes for the selected employee and assign the
employee the "Tax Manager <Business Unit>" data role.
E. Enable "Allow override of calculated tax lines" within the tax configuration owner options for the
receivable application and create a tax rule to grant this privilege only to the selected employee.
Answer: D
Explanation
References:
Question #:19
What are the three seeded contract configuration rules that Revenue Management provides to automatically
create contracts? (Choose three.)
Answer: B C E
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Question #:20
The method that is used to capture receipts data in mass while you are offline and upload the receipts at a later
date is called ______________.
Answer: B
Explanation
References:
Question #:21
A client has implemented a revenue policy with time-based contingencies. An invoice for a creditworthy
customer is imported and one of the invoice lines is associated with both a nonstandard refund policy (60
days) and an acceptance clause (100 days).
C. immediately
D. after 60 days
Answer: B
Question #:22
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D. The Balance Forward Bill of a previous cycle need not be generated as Final to generate the Balance
Forward Bill of the current cycle.
Answer: A
Explanation
References:
Question #:23
Identify a valid reason for a Collector being unable to enter a dispute against a particular transaction.
Answer: C
Question #:24
Which two setups are required to ensure that the same tax is applied on both intercompany payable and
intercompany receivable invoices? (Choose two.)
A. Intercompany system options enable use of the same tax rate code for the payable and receivable
invoices.
B. The payable options and the receivable system options should have the same tax application options.
D. First enter a payable transaction to calculate tax and then enter the receivable transaction.
E. Ensure if any tax-specific rules that are defined should cover both the sales_transaction and
purchase_transaction business category.
F. Ensure that both the receiver and provider business units and legal entities are subscribed to the
applicable tax regime on the transaction date.
Answer: B F
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Question #:25
To meet the business needs of most organizations, “Common Set” is seeded InFusion for all set-enabled
objects with the exception of _________________.
B. AutoCash Rules
D. Customer Site
E. Aging Methods
Answer: D
Question #:26
There are a few customers that you do not want to send dunning letters to.
Answer: D
Explanation
References:
Question #:27
A customer calls the Accounts Receivables department and asks for the balance of all invoices that are due in
the next 30 days. The customer also has a question about a specific invoice line.
A. Search for the information in the Review Customer Account Details user interface.
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Answer: A
Question #:28
You are not able to initiate a bankruptcy request at the customer site level on behalf of a customer.
A. Preferences must be enabled and Enable Bankruptcy must be set to Yes for the customer.
B. The Collections Administrator creates a bankruptcy request in the Customer Relationship Management
(CRM) application and a collector should have the Collection Manager and Customer Profile
Administrator roles assigned.
C. Preferences must be enabled and Enable Bankruptcy must be set to Yes in Manage Collections
Preferences in the Functional Setup Manager for Advanced Collections.
D. The Collections Manager creates a bankruptcy request in the Customer Relationship Management
(CRM) application and a collector should be configured as a resource.
E. Bankruptcy must be applied at the customer level, which includes all transactions at the customer,
account, and Site levels.
F. The customer does not have the default strategy and default collector assigned at the customer account
and site level.
Answer: B C
Question #:29
You are creating a remittance bank account for the factored with recourse bills receivable remittance receipt
method.
C. clearing days
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D. collection days
E. lead days
F. recall days
Answer: A
Explanation
References:
Question #:30
You have created a sales invoice for $900 USD with an item line of $750 USD and a tax rate of 20%. The
customer has made a payment of $500 USD and you are required to process the cash application to apply the
$500 USD to the item line and $0 USD to tax.
A. Set the credit classification revenue recognition policy to look for Line First and Tax Later.
B. Create a Memo Line or receivable activity to have the check box selected for Apply Item Line First.
C. Set Application Rule Set to Line First--Tax After at the transaction type level and/or a default value at
system options.
D. Set Application Rule Set to Line First--Tax After at the transaction source level and/or a default value at
the receipt method.
E. Set the payment terms revenue recognition policy to look for Line First and Tax Later.
Answer: C
Explanation
References:
Question #:31
Your customer has three sites defined in the system, site 1, site 2, and site 3. All sites have their own billing
strategy defined and Balance Forward Billing is enabled for site 1 and Site 2 at the account level.
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Answer: C
Question #:32
When you move revenue on an invoice line from an unearned account to an earned revenue account,
Receivables ______________.
B. leaves the invoice line revenue contingencies until Automatic Revenue Recognition is run
D. leaves the invoice line revenue contingencies until Reconcile Revenue Contingencies is run
Answer: A
Explanation
References:
Question #:33
What is the impact on transactions of changing the billing cycle for a customer or group of customers?
A. The billing cycle does not have any impact on new transactions.
D. New transactions after this change inherit the new billing cycle.
Answer: D
Question #:34
You created a bills receivable that is factored with recourse and applied a wrong receipt to the short-term debt
before the bill maturity date plus the risk elimination days.
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A. If the bills receivable is recalled before the maturity date, the status of the bills receivable is updated to
Protested.
B. If the bills receivable is recalled after the maturity date, the status of the bills receivable is updated to
Hold.
C. If the bills receivable is recalled after the maturity date, the status of the bills receivable is updated to
Recall.
D. If the bills receivable is recalled before the maturity date, the status of the bills receivable is updated to
Pending Remittance.
E. If the bills receivable is recalled after the maturity date, the status of the bills receivable is updated to
Unpaid.
Answer: C D
Explanation
For bills receivable factored with recourse, receipts are applied to short term debt before the bill maturity date
plus risk elimination days. For receipts applied to short term debt, use the Recall action to recall the bill
receivable and reverse these receipt applications.
References:
Question #:35
When running the delinquency process for a customer, the business unit for which you want to run the process
does not appear in the drop-down menu.
A. Business unit is not a required option on the Parameters tab to run the delinquency process.
B. Only business units that the user has access to will appear in the list of values. Modify the security
options to provide access to the user.
C. Select the check box to enter the default business unit if it does not appear in the drop-down menu.
D. Click the Settings button to apply appropriate settings so that the business unit appears in the drop-down
menu.
Answer: B
Question #:36
If a receipt cannot be automatically matched or transaction information is not available, Receivables can use
the AutoCash rule set.
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A. System Options
B. Receipt Class
C. Customer Site
D. Receipt Method
E. Customer Account
Answer: C D E
Explanation
If transactions cannot be matched or transaction information is not available, Receivables uses the AutoCash
rule set defined for the customer profile either at the customer site or customer level to apply the receipt. If the
customer does not have an AutoCash rule set assigned to a profile, Receivables uses the AutoCash rule set
assigned to system options and the number of discount grace days defined in the customer site or customer
profile to apply the receipt.
References:
Question #:37
Your client performs many customer refunds and would like to search for real-time Receivables Refunds
Status easily.
A. Create a Business Intelligence Publisher Report because you cannot create an OTBI Report for refunds.
D. Create a Real Time Report by using Oracle Transactional Business Intelligence (OTBI).
Answer: D
Question #:38
Which two Collection Preferences can be selected as the default transaction class for the Transaction tab?
(Choose two.)
A. Debit Memo
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B. Deposit
C. Charge Back
D. Credit Memo
E. Guarantee
Answer: A D
Explanation
References:
Question #:39
An invoice for $100 USD has revenue deferred due to unmet payment-based contingencies and the Invoice
Accounting Used for Credit Memos profile option is set to Yes. A credit memo of $50 USD has been issued
against this invoice.
Answer: C
Question #:40
When reversing a receipt, if an adjustment or chargeback exists, how are the off-setting adjustments created?
A. manually, but without using the Adjustment Reversal and Chargeback Reversal activities
B. automatically, but without using the Adjustment Reversal and Chargeback Reversal activities
Answer: C
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Explanation
When you reverse a receipt, if an adjustment or chargeback exists, Receivables automatically generates
off-setting adjustments using the Adjustment Reversal and Chargeback Reversal activities.
References:
Question #:41
Which two statements are true when you are using the Intercompany Reconciliation Process? (Choose two.)
A. The Transaction Summary Report shows only transactions with a status of received.
B. The Clearing Company Balancing Lines appear in the Intercompany Reconciliation Summary Report.
C. The Reconciliation Period Summary Report shows the intercompany receivable and the intercompany
payable lines generated by the intercompany balancing feature.
D. The ledger balancing lines are generated when the primary balancing segment value is in balance but
either the second balancing segment or the third balancing segment is out of balance.
Answer: C D
Explanation
References:
Question #:42
You need to make decisions about how an application should behave, such as date ranges and defaults.
A. scheduled processes
B. system privileges
D. the employees who are involved with the collections process and how the collectors will be assigned
Answer: D
Explanation
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References:
Question #:43
If AutoAccounting is set to derive accounting segments based on a standard line, the transaction line must be
either ________________ or ________________. Otherwise, AutoAccounting cannot derive a valid account
code combination for revenue recognition.
B. a purchasing item
D. an inventory item
Answer: A D
Explanation
References:
Question #:44
In what three ways will changing customer information impact the collection process? (Choose three.)
A. Changing information on the Profile tab does not have an impact on the level at which collections are
done.
B. Adding or modifying customer contact name on the Contacts tab impacts where the correspondence is
sent.
D. Business-unit-level changes will not impact the display of delinquent customers on the dashboard.
E. Changing the Collector impacts the individual working with the delinquent customer.
Answer: B C E
Explanation
References:
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Question #:45
Which method is used to allocate total transaction price across performance obligations in Revenue
Management?
Answer: A
Explanation
References:
Question #:46
Identify two values that default from Customer Profile Classes. (Choose two.)
A. Business Purpose
B. Statement Cycle
C. Legal Entity
D. Tax
E. Payment Terms
Answer: D E
Question #:47
Your customer wants to retrieve values for the Line of Business segment based on Customer Class for the
Revenue account.
Which option would you use to achieve this with the help of the Subledger Accounting solution?
A. Mapping Set
B. Supporting References
C.
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C. Transaction References
D. Description Rule
Answer: B
Explanation
References:
Question #:48
Answer: C
Question #:49
Which two determinant types are used in reference data assignment? (Choose two.)
A. Business Unit
B. Account Segment
C. Project Segment
D. Project unit
Answer: A D
Explanation
References:
Question #:50
If the Contract Identification Rules that you defined for your customer did not group the source data into
customer contracts as expected, how would you resolve the issue?
A. Delete the performance obligations from the relevant contracts through the Manage Customer Contracts
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A.
UI.
B. Delete the source data that was imported into Revenue Management and import new source data.
C. Run the Discard Customer Contracts program for the relevant contracts and run the Identify Customer
contracts program again.
D. Run the Discard Customer Contracts program for the relevant contracts, define a new, higher-priority
Contract Identification Rule, and run the Identify Customer Contracts program again.
Answer: D
Explanation
References:
Question #:51
When a customer opts to make a payment by a credit card, this receipt is identified as a(n) _______________.
A. miscellaneous receipt
C. manual receipt
D. automatic receipt
E. AutoLockbox receipt
Answer: D
Explanation
References:
Question #:52
What do you need to total in order to find the total transaction price for a customer contract that is calculated
by Revenue Management?
A. the extended SSP amounts for all performance obligations in the customer contract
B. the SSP amounts for all performance obligations in the customer contract
C. the selling price for all performance obligations in the customer contract
D.
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D. the allocated amount for all performance obligations in the customer contract
E. the billing amount for all performance obligations in the customer contract
Answer: E
Question #:53
What are the two locations where the system can look for Receipt Match By Value when Receivables applies
customer payments automatically for manually created receipts? (Choose two.)
A. Receipt Method
B. AutoMatch Rule
C. Customer
D. System Options
Answer: C D
Explanation
References:
Question #:54
What are the three drilldown options available in the task pane for Receipt Remittance? (Choose three.)
Answer: B D E
Question #:55
Which role provides access to Receivables – Revenue Adjustments Real Time OTBI Subject area?
A. Revenue Manager
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D. Billing Specialist
Answer: C
Explanation
References:
Question #:56
Which two items are required for customer invoicing? (Choose two.)
A. Lockbox
B. Customers
C. Remit-to-address
Answer: A D
Question #:57
In the customer hierarchy of Customer Corporation, Customer Worldwide is the parent company of Customer
USA and Customer Japan. Customer West is a subsidiary of Customer USA.
Which three statements are true if the Customer Corporation hierarchy is assigned to a Pay Below Paying
relationship? (Choose three.)
A. Customer USA can pay for Customer Worldwide, Customer West, and its own transactions.
C. Customer USA can pay for Customer West and its own transactions.
D. Customer Japan can pay for Customer West, Customer USA, and its own transactions.
E. Customer Worldwide can pay for Customer USA, Customer Japan, Customer West, and its own
transactions.
Answer: B C D
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Question #:58
You are the Billing Manager and you are responsible for reviewing adjustments and approving them.
Which two tabs are available in the Adjustments Overview Region on the Billing Work Area page? (Choose
two.)
A. Pending My Research
C. Pending Approval
D. Pending My Approval
E. Approved
Answer: A D
Question #:59
Identify three activities that you can perform from the Collections Dashboard. (Choose three.)
Answer: B D E
Question #:60
Which three transaction types are used to generate late charges? (Choose three.)
A. Cash Receipts
C. Credit Memo
D.
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D. Debit Memo
E. Interest Invoice
Answer: B C E
Explanation
Referencehttps://docs.oracle.com/cloud/latest/financialscs_gs/FAIRP/FAIRP1476421.htm
Question #:61
You have created payment terms in a system and associated them in the USA reference data set. All the
payment terms in the system are shown as follows. Business Unit X has a set assignment of Enterprise Set for
payment terms.
Payment Term = 1%/10 Net 30; Reference Data Set = USA Set
If an invoice is created in Business Unit X, which payment term set is available for use in a transaction?
Answer: B
Question #:62
A. Tax only
B. Advance
C. Paid freight
D. Invoice lines
E.
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Answer: A D
Question #:63
A Billing Specialist creates an adjustment for an incorrect invoice that exceeds a user’s approval limit.
A. Pending Approval
C. Pending Research
D. Approval Required
Answer: A
Explanation
References:
Question #:64
Which two duties are included in the Accounts Receivable Specialist associated role? (Choose two.)
Answer: A D
Explanation
References:
Question #:65
A. Reciprocal Customer
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B. Receipt Method
C. Default Country
Answer: B C
Question #:66
A. receipt reversal
C. credit reversal
E. change of instrument
Answer: A B E
Explanation
References:
Question #:67
You have created two transactions with a 30-day payment term. The first transaction is on January 29, 2015
and the second transaction is on January 31, 2015. The invoice date is the same as the system date. Both
transactions are assigned an unsigned receipt method that has the lead days set to 60, number of bills
receivable rule set to one per customer, and the bills receivable maturity date rule set to latest.
Which statement is true when the create bills receivable batch is processed for a customer on January 31,
2015?
A. A Bills Receivable is created with the issue date as January 31, 2015 and the maturity date as March 2,
2015.
B. A Bills Receivable is created with the issue date as January 31, 2015 and the maturity date as February
28, 2015.
C. A Bills Receivable is created with the issue date as January 31, 2015 and the maturity date as March 30,
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C.
2015.
D. Two Bills Receivable transactions are created with maturity dates as March 30, 2015 and April 1, 2015.
E. Two Bills Receivable transactions are created with the issue dates as January 29, 2015 and January 31,
2015.
F. Two Bills Receivable transactions are created with the issue date and accounting date as January 29,
2015 and January 31, 2015, respectively.
Answer: D
Question #:68
Which three actions are facilitated through the Reconciliation Summary Report? (Choose three.)
B. drilldown on the difference amounts to see specific reconciling items and the potential cause of the
out-of-balance condition
C. drilldown from any of the summarized Receivables and Accounting amounts to see detailed activity
D. drilldown to see details of unaccounted revenue transactions not transferred and posted to the General
Ledger
E. drilldown to view data and use standard Excel functions such as sum, find, sort, and filtering without
actually downloading to Excel
Answer: B C E
Explanation
References:
Question #:69
The Billing Manager has navigated to the Billing work area to complete a transaction. The Incomplete
Transactions Overview Region on the Billing Work Area page has a drilldown option through a column to
complete the transaction.
A. Transaction Class
B. Transaction Number
C. Transaction Source
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D. Transaction Date
Answer: B
Question #:70
What are three functions of the Create Automatic Receipt Write-offs program? (Choose three.)
Answer: A B C
Explanation
References:
Question #:71
Which transactions are included when transactions of specified customers are selected in the Create Balance
Forward Billing Program?
Answer: B
Explanation
References:
Question #:72
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A. Activity tab
B. Correspondence tab
C. Profile tab
D. Aging tab
Answer: C
Explanation
References:
Question #:73
B. IfAutoAccounting cannot determine all the accounting flexfield segments, it derives what it can and
displays an incomplete accounting flexfield.
C. AutoAccounting is used to determine the default General Ledger accounts only for transactions that you
import by using AutoInvoice.
D. You cannot override the default General Ledger accounts thatAutoAccounting creates.
Answer: B
Explanation
References:
Question #:74
Answer: B
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Explanation
References:
Question #:75
After reviewing an incomplete invoice, the Billing Manager clicks the Complete button in the Transactions
window.
E. The invoice is included in the standard aging and collection process if the transaction type has the Open
Receivables option set to No.
Answer: A B C
Question #:76
Your client's legacy system uses a hierarchical parent/child relationship to organize customer information
because a single customer may have more than one bank account or payment method.
Does this prevent you from using the Oracle Fusion Trading Community Model Data Import program?
A. The program allows the use of parent, child, and grandchild table hierarchies, but it requires multiple
Customer Master records for each customer within the hierarchy.
B. The program allows table hierarchies for customer bank accounts, but not for other customer
information.
C. No; the program contains parent, child, and grandchild table hierarchies to represent the hierarchy of
data in the customer information.
D. Yes; the program specifically prohibits parent, child, and grandchild table hierarchies to represent the
hierarchy of data in the customer information.
E. The use of parent, child, and grandchild table hierarchies is allowed only in Accounts Payable, not
Accounts Receivable.
Answer: D
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Question #:77
Your customer has a state tax of 20% and a city tax of 10% as non-inclusive tax rates that are applicable on a
transaction line. Your invoice has two lines: Line1 with $600 USD and Line2 with $400 USD.
What will be the resulting tax and invoice amounts for your tax invoice?
A. state tax of $166.67 USD for the invoice, city tax of $16.67 USD, and an invoice total of $1,184.34
USD.
B. state tax of $166.67 USD for the invoice, city tax of $91.11 USD, and an invoice total of $1,257.78
USD.
C. state tax of $166.67 USD for the invoice, city tax of $91.11 USD, and an invoice total of $1,000 USD.
D. state tax of $200 USD for the invoice, city tax of $10 USD, and an invoice total of $1,210 USD.
E. state tax of $200 USD for the invoice, city tax of $100 USD, and an invoice total of $1,300 USD.
Answer: E
Question #:78
Which three interest rate calculation formula methods are supported in Receivables? (Choose three.)
A. Average
B. Flat Rate
C. Declining Balance
D. Simple
E. Compound
Answer: B D E
Explanation
References:
Question #:79
A business entity (your client) sells a computer, monitor, keyboard, and mouse as a single package to
consumers. The entity has identified that this bundle is a distinct performance obligation.
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Oracle - 1z0-1056
How would you configure the Performance Obligation Identification Rule to ensure correct grouping of these
items?
A. by defining a grouping on an extensible line attribute and ensuring that the source lines for the specified
items contain different values for that attribute
C. by defining a grouping on an extensible line attribute and ensuring that the source lines for the specified
items contain the same value for that attribute
Answer: A
Question #:80
A Billing Specialist runs the Create Automatic Billing Adjustments program to automatically adjust the
remaining balance on open invoices, but some of the amounts have exceeded the Billing Specialist's approval
limits.
A. The program creates the adjustments with a status of Pending Approval for the amount that exceeds the
Billing Specialist's approval limits.
B. The program can be run only if the amount is within the Billing Specialist's approval limits.
C. The program creates the adjustments with a status of Rejected for the amount that exceeds the Billing
Specialist's approval limits.
D. The program creates the adjustments only for the amounts within the Billing Specialist's approval limits.
Answer: A
Explanation
Referencehttps://docs.oracle.com/cd/A60725_05/html/comnls/us/ar/adjust.htm#n_adj
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