1Z0-960 Exam Questions
130 real 1Z0-960 exam questions with expert-verified answers and explanations. Page 3 of 3.
- Question #105
You operate in a country whose unstable currency makes it unsuitable for managing your day-to- day business. As a consequence, you need to manage your business in a more stable cur...
- Question #106
How do you hide accounts with no balances showing #Missing in Smart view?
- Question #107
What's the difference between subject areas that append the word "Real Time" and those that do not?
- Question #109
Which feature outside of reporting and analysis leverages the Essbase cube?
- Question #110
Encumbrance accounting is enabled for your ledger. An encumbrance journal dated 3/15/16 was recorded for a purchase order. The invoice was entered on 5/5/16, but the invoice accoun...
- Question #111
What are the two purposes of a secondary ledger? (Choose two.)
- Question #112
The Delete Translated Balances process provides the ability to completely reset translations in the event that significant changes are made to the accounting configuration. Once th...
- Question #113
In Financials Cloud, which three reporting tool can be used to access General Ledger balances? (Choose three.)
- Question #114
After loading your budget data into General Ledger Cloud, you can view budget balances using these features. Which feature does not belong on the list?
- Question #115
You need to create a month-end reporting package for an upcoming Audit Committee meeting, you have 10 financial reports that you want to share with executives and auditors that are...
- Question #116
During implementation, a consultant accidentally designated the cost center segment as the natural account. Values have already been assigned and journals have been posted. Select...
- Question #117
You just submitted the Accounting Configuration. What two things must happen before you can enter journals? (Choose two.)
- Question #118
Which AMX builder method is most effective in routing the journals to the Accounting Manager when its subordinate, the General Accountant, enters a journal?
- Question #119
Which two statements are true if a journal description rule is defined with sources? (Choose two.)
- Question #120
Which tool can you use to create a Financial Income Statement?
- Question #121
You create an invoice for USD 100 that is matched to a purchase order of USD 100. You validate the invoice to consume the budget and reduce funds available. And then later, you can...
- Question #122
What are the two possible reasons for encumbrance created on the purchase order to go back to the budget or funds availability? (Choose two.)
- Question #123
How do Cross Validation Rules (CVRs) handle existing violations in the Code Combinations Identification (CCID) table?
- Question #124
You are setting up Close Monitor to view the high-level income statement results for each ledger. Which object must you select to view this?
- Question #125
You have enabled budgetary control and have a control budget set to Advisory control level. For September 2016, your budget for a given account combination is $5,000 USD. In the sa...
- Question #126
The expense account of airfare was erroneously assigned to the account type "Liability." Which method should you choose to fix the problem?
- Question #127
What is the purpose of the Fusion Accounting Hub Reporting Cloud Service? (FAHRCS)
- Question #128
You are working on a multipillar implementation of both HCM Cloud and ERP Cloud. You implemented HCM first using the Enterprise Structures Configurator (ESC). Which three things sh...
- Question #129
Budgetary control for accounts 5020 and 5021 has a budget of $90,000 USD each for the year 2012. The accounts also have balances on obligation of $10,000 USD for each and an expend...
- Question #130
You are implementing a multipillar implementation of both HCM Cloud and ERP Cloud. You are implementing ERP first followed by HCM Cloud. You want to ensure your ledgers and chart o...
- Question #131
There are two types of Supporting References: one with balances and one without. You want to define Supporting References without balances. Which two aspects should you remember? (...
- Question #132
In which two ways can your users customize the Springboards and Work Areas to suit their individual working styles? (Choose two.)
- Question #133
You set up a secondary ledger using the Manage Secondary Ledger task and selected a data conversion level of subledger. Which two actions should you now perform? (Choose two.)
- Question #134
Journal Description Rules are assigned to Subledger Journal Entry Rule Sets. What are the other two subcomponents of a Subledger Journal Entry Rule Set? (Choose two.)
- Question #135
You are setting up Close Monitor, which comprises a ledger set hierarchy definition. Which two components of the enterprise structure should the ledgers in the ledger set share? (C...