1Z0-516 Exam Questions
780 real 1Z0-516 exam questions with expert-verified answers and explanations. Page 5 of 16.
- Question #201
Company Z has implemented Payables, General Ledger, and Project Accounting. Both Transfer to GL and Interface Supplier Costs are processed each night. A descriptive flexfield calle...
- Question #202
Select three invoice types that can be entered ONLY in the Invoice Workbench, and CANNOT be entered via the Invoice Gateway. (Choose three.)
- Question #203
Identify the two methods that are NOT used to enter invoice distributions. (Choose two.)
- Question #204
Company XYZ has received an invoice that includes freight charges. They want to distribute the freight charges proportionately to the same accounts that were charged for the items....
- Question #205
ABC Corp. requires that all invoices are matched to both a purchase order and a receipt. Invoice tolerances are set to zero. A standard purchase order is entered for consulting ser...
- Question #206
Which two statements are true if you select the QuickMatch invoice type? (Choose two.)
- Question #207
A client is implementing ACH and has a business requirement that all invoices go through an approval process flow. Identify three features of the Invoice Approval Workflow that wou...
- Question #208
Identify three true statements about the invoice approval workflow. (Choose three.)
- Question #209
Using the Payables System Setup Options form, you can enable autonumbering for _____.
- Question #210
Company ABC has decided to use the invoice approval workflow to require approval on all invoices. Select two exceptions where Payables automatically sets the approval status to not...
- Question #211
Identify four purposes for which the Special Calendar is used. (Choose four.)
- Question #212
Select four tips that can be used to speed up data entry. (Choose four)
- Question #213
Identify three statements that properly describe the use of distribution sets. (Choose three.)
- Question #214
ABC Corporation wants to convert from their existing legacy application to Oracle E-Business Suite Release 12. Identify three statements that are true for invoice conversion. (Choo...
- Question #215
Company ABC has implemented Oracle Payables. They have decided not to define supplier bank accounts. They will use payment batches, quick payments, and manual payment processing. S...
- Question #216
Which statement is true about paying invoices?
- Question #217
Which is the final step in processing a payment batch?
- Question #218
You are working on an implementation for Accounts Payable. Many payments for small suppliers will be made outside the system, but your client does not want to manually record them...
- Question #219
Identify the default value for the term date that would extend the time to pay an invoice, if the payment term is net 30 days.
- Question #220
Identify three Payables system setup options. (Choose three.)
- Question #221
Identify three statements that describe Payment Terms. (Choose three.)
- Question #222
Identify three options available to manage cash requirements. (Choose three.)
- Question #223
Identify three features that speed up data entry. (Choose three.)
- Question #224
Identify three features of Payment Manager. (Choose three.)
- Question #225
Identify three statements that are true for electronic or wire payment. (Choose three.)
- Question #226
Which three are true about internal bank accounts? (Choose three.)
- Question #227
Which two statements are true about defining payment documents? (Choose two.)
- Question #228
Identify three statements that are true for supplier's bank details. (Choose three.)
- Question #229
Identify three statements that are true for entering bank and branch details. (Choose three.)
- Question #230
Identify three statements that are true about bank and supplier payment. (Choose three.)
- Question #231
Identify three statements that are true about bank account information. (Choose three.)
- Question #232
To transmit an electronic payment instruction manually, perform these four steps. 1. In the Payments Manager, select the Payment Instruction tab. 2. In the Status field of the Sear...
- Question #233
Identify four options for Quick Payments. (Choose four.)
- Question #234
Creating multiple scheduled payments allows you to issue partial payment of an invoice or to pay an invoice over multiple dates. Identify the one invoice field that is NOT used on...
- Question #235
Payment process request templates are created on the Templates tabbed page of the Payments Manager to simplify pay run processing. All statements in the list below represent steps...
- Question #236
R12 uses simplified navigation paths. To which specific button or navigational notation does (ST) refer?
- Question #237
In the Payment Process Requests, which action(s) can you perform on invoices that are selected for a pay run? 1. Review unselected invoices. 2. Change the invoice amount or the dis...
- Question #238
To review All of Todays selected invoices from the payment process request in the Payment Manager, perform these actions: 1. Navigate to the Payment Process Request component. 2. N...
- Question #239
Which four selection criteria can be used when creating a pay run? (Choose four.)
- Question #240
The Quick Payment method is best described as the method of _____.
- Question #241
You have received an invoice that requires an immediate payment. The next scheduled check run is not until the end of the week. Which two methods may you use to create the payment?...
- Question #242
Which three restrictions apply when you are paying invoices with a "quick" payment type? (Choose three.)
- Question #243
Choose the process that can be performed after a pay run has been formatted.
- Question #244
You just received an invoice for a new supplier. You need to pay it and ensure that all accounting entries are created in General Ledger. You perform these steps, in the order show...
- Question #245
Select four occasions when the Create Accounting process can be run. (Choose four.)
- Question #246
The manual payment method is best described as the method of _____.
- Question #247
You initiated a pay run by entering criteria for invoices that you want to pay. In which order would you perform these steps to complete the pay run process? 1. Review proposed pay...
- Question #248
Identify three options for preventing prepayments. (Choose three.)
- Question #249
When reconciling Payables and Cash Management, you may encounter clearing restrictions. Here are three clearing restrictions for Cash Management. 1. Oracle Cash Management cannot c...
- Question #250
Here is a description of a report, file, or register. Use this to review payments created for each bank account that you use during a time period you specify. The report lists each...