1Z0-516 Exam Questions
780 real 1Z0-516 exam questions with expert-verified answers and explanations. Page 6 of 16.
- Question #251
Which statement is FALSE about the Stop Payments Report?
- Question #252
Company A has implemented Oracle Payables and Oracle General Ledger. It has a third-party (non-Oracle) application that it uses to enter employee expense reports. The company wants...
- Question #253
Identify two advantages of using Oracle Internet Expenses. (Choose two.)
- Question #254
Company A wants to use Oracle Internet Expenses with expense report templates. Identify three true statements for the setup of expense report templates. (Choose three.)
- Question #255
Expense reports for Company A are entered in Payables using the Expense Report form. The accounting flexfield has a three-segment structure: Company - Cost Center - Account The emp...
- Question #256
Identify the setup options that would allow the accounts payable supervisor to default an active expense report template.
- Question #257
If you use the Expense Report Export program, it converts expense reports created in these applications into Payables invoices. Identify the two applications. (Choose two.)
- Question #258
During the entry or update of expense reports in the Payables Expense Report window, holds can be applied on an expense report. These holds are carried forward to the invoice creat...
- Question #259
A client wants to configure Oracle AP to perform prepayments for matched invoices. You have been hired as the implementation consultant and have been given the assignment. To compl...
- Question #260
Identify the conditions that must exist before you can apply an advance against an expense report.
- Question #261
Identify the table used to load procurement card transactions.
- Question #262
Select the four activities that are NOT part of the Payables closing process. (Choose four.)
- Question #263
Identify two exceptions that prevent you from closing the period in Payables. (Choose two.)
- Question #264
Select three processes that must be performed before closing the purchasing period. (Choose three.)
- Question #265
XYZ Corporation uses Fixed Assets to manage their Asset transactions such as capitalizing, depreciating, adjusting, and retiring. After assets are purchased and the invoice is ente...
- Question #266
XYZ Corp. must complete the subledger account process and perform other period-end closing activities. Payables must validate and account for the remaining invoices that have syste...
- Question #267
Your company accrues expense items at period end. Identify the report that must be generated before you run your receipts' accrual period-end process.
- Question #268
Identify the report that is used to reconcile the Accounts Payable liability balance at period end.
- Question #269
Identify the four reports you must run when reconciling invoices and payments to the Accounts Payable Trial Balance Report. (Choose four.)
- Question #270
Identify three Oracle E-Business Suite Release 12 applications that both integrate with Payables and provide Payables-related accounting information to Oracle Subledger Accounting....
- Question #271
Identify three processes that you must run before closing your Payables period. (Choose three.)
- Question #272
Identify the statement that reflects the functionality of the Create Accounting Process.
- Question #273
Identify three functions that the Create Accounting program provides. (Choose three.)
- Question #274
When reviewing the Accounts Payable Trial Balance Report for a period, a user notices that the remaining balance for an invoice is negative. What is the reason?
- Question #275
Which three reports can be used to reconcile Payables activities to General Ledger? (Choose three.)
- Question #276
ABC Corporation has closed their APR-XX accounting period. The APR-XX period started on 27- MAR-20XX and ended on 26-APR-20XX. To ensure that all accounting from APR-XX has been se...
- Question #277
As part of its closing process, XYZ Corporation reviews receipt accruals. Occasionally, Payables matches incorrectly, and therefore they find that some perpetual accruals never cle...
- Question #278
At your client site, the Payables period-close processes have been performed. The Payables transfer to GL has been completed, and the resulting journal entries have been posted to...
- Question #279
In the accrual process for perpetual accruals, which two events generate accounting entries that can be transferred to GL? (Choose two.)
- Question #280
In the accrual process for period-end accruals, which two events generate accounting entries that can be transferred to General Ledger? (Choose two.)
- Question #281
Where do you define the attribute that determines whether you will accrue expense items at receipt or at period end?
- Question #282
Identify three key accounts to be considered during the implementation of Payables that impacts the reconciliation of the accounts payable liability accounts. (Choose three.)
- Question #283
Identify two implementation considerations that impact Payables during the closing process. (Choose two.)
- Question #284
At your client site, under Payables Options, the Transfer to GL option has been set to Summarize by Accounting Period. The period-end close processes for AP have run and the Payabl...
- Question #285
Where does the expense AP accrual account used in the Period End Accrual process default from?
- Question #286
Identify three prerequisites for the Payables period-close process. (Choose three.)
- Question #287
Your client, Company A, has these requirements: 1. Asset invoices are entered in the Payables daily, but assets are transferred to Oracle Assets only once per week. 2. Payables jou...
- Question #288
Which key process is considered as a prerequisite for Transfer Journal Entries to GL Process?
- Question #289
To enter manual tax lines on invoices, enable manual tax options in E-Business Tax. Select three setup options for manual tax lines. (Choose three.)
- Question #290
To enter manual tax lines on invoices, enable manual tax options in E-Business Tax. You can set these options at the Event Class, Configuration Owner, or Tax level. Under the manua...
- Question #291
You are in the Tax Lines Summary window and you update the calculated tax amount of one of the taxable distributions. You must also adjust _____.
- Question #292
Select the income tax report that is NOT available in the Payables module.
- Question #293
Select the Apply Withholding Tax Payables option that must be set to submit the Withholding Tax by Invoice Report.
- Question #294
Tax Content Services store and maintain the master and reference data that are needed to support the other components in E-Business Tax. You use the E-Business Tax application to m...
- Question #295
Identify three E-Business Tax setup options. (Choose three.)
- Question #296
Identify three statements that are true about E-Business Tax and Payables. (Choose three.)
- Question #297
Identify three statements that are true for E-Business Tax. (Choose three.)
- Question #298
Payables leverages E-Business Tax to set up, calculate, and manage transaction taxes, such as Sales, VAT and Offset taxes. Which two taxes are NOT calculated and managed by Payable...
- Question #299
When you validate an invoice in Payables, E-Business Tax automatically performs four tasks. (Choose four.)
- Question #300
To manually enter tax details for an item, freight, miscellaneous, or prepayment lines, you must complete seven fields. Name three. (Choose three.)