[Q14-Q38] Exam 1z0-1056-23 Realistic Dumps Verified Questions Free [Apr 12, 2024]

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Exam 1z0-1056-23 Realistic Dumps Verified Questions Free [Apr 12, 2024]

Valid 1z0-1056-23 Dumps for Helping Passing Oracle Exam!


Oracle 1z0-1056-23 Exam Syllabus Topics:

TopicDetails
Topic 1
  • Configure Receivables Using Rapid Implementation
  • Reporting for Account Receivables & Advanced Collections
Topic 2
  • Manage Automatic Receipts and Funds Capture
  • Configure Integration with Other Applications
Topic 3
  • Manage the AutoInvoice Process
  • Report with Business Intelligence Publisher (BIP)
Topic 4
  • Configure Revenue for Receivables
  • Managing Customer Billing
  • Manage AutoInvoice Corrections
Topic 5
  • Create and Process Bills Receivables Remittances
  • Report with Oracle Transactional Business Intelligence (OTBI)
Topic 6
  • Configure and Use Oracle Bill Management
  • Manage Account Receivables Reconciliation

 

NEW QUESTION # 14
You are an IT contractor for a client who wants to increase internal controls on bank accounts set up in the Cash Management application. According to their new policy, a Cash Manager s ability to add. review, or make changes to bank accounts must be regionalized and restricted by their org structure.
Which statement is true about the restrictions applied to the setup?

  • A. Cash Managers can create and manage bank accounts for only those legal entities to which they are given access.
  • B. Cash Managers can only create but not manage bank accounts for those legal entities to which they are given access.
  • C. Cash Managers cannot create but only manage bank accounts for those legal entities to which they are given access.
  • D. Cash Managers can create and manage bank accounts for only those business units to which they are given access.

Answer: A

Explanation:
Explanation
This is the true statement about the restrictions applied to the setup. Cash Managers can access bank accounts based on their legal entity access privileges. They can create and manage bank accounts for only those legal entities that they are authorized to access. Verified References: [How You Manage Bank Accounts - Oracle]


NEW QUESTION # 15
Manage Receipt Classes and Methods
Scenario
Supremo US Business unit needs to capture customer payments that will be reconciled in the Cash Management application. You need to define a receipt class and receipt method, and assign the appropriate bank account to meet this requirement.
Task:
Create Receipt Method. where:
* Name of the new receipt method is XXCheck (Replace XX with 03. which is your allocated User ID.)
* Receipt method must be effective as of January 1. 2023

Answer:

Explanation:
See the explanation below for solution.
Explanation
* Log in to Oracle Financials Cloud.
* Click on the Receipt Methods icon in the Receivables work area.
* Click on the Create button.
* In the Receipt Method window, enter the following information:
* Name: XXCheck (Replace XX with your allocated user ID.)
* Effective Date: January 1, 2023
* Receipt Class: XXReceipt Class (The receipt class that you created in the previous step.)
* Bank Account: The bank account that will be used to clear receipts for this receipt method.
* Click on the Save button.
The new receipt method will be created.


NEW QUESTION # 16
While reviewing Balance Forward Bill Infertile on the Account Overview page m Bill Management, you notice that it is only displaying balance forward Mis raised in the last month.
How can you increase the number of months to view past balance forward bills?

  • A. Use Receivables System Options
  • B. Use Bill Management System Options
  • C. Add the number of months as a value for the BILL.MANAGEMENT lookup code
  • D. Use the threshold view of Balance Forward Bill Infotile

Answer: B

Explanation:
Explanation
You can use Bill Management System Options to increase the number of months to view past balance forward bills on the Account Overview page in Bill Management. You can set the value for the Number of Months for Balance Forward Bill Infotile Profile Option. Verified References: [How You Manage Balance Forward Billing - Oracle]


NEW QUESTION # 17
In Advanced Collections, scoring formulas are used to effectively manage your collection activities and strategies. Scoring formulas contain data points that help determine the collectability of your outstanding balances. To determine the number of days passed since the last payment was received from a customer, you can use the Age of Latest Payment data point.
At which details?

  • A. Site
  • B. Customer
  • C. Site Address
  • D. Organization
  • E. Account
  • F. Party

Answer: A

Explanation:
Explanation
This is the level at which you can use the Age of Latest Payment data point to determine the number of days passed since the last payment was received from a customer. The Age of Latest Payment data point is calculated at the account level and shows the age of the most recent payment for each customer account.
Verified References: [How You Define Scoring Components - Oracle]


NEW QUESTION # 18
After creating Receivables Activities using the General Ledger Rapid Implementation workbook upload process a Receivables Manager wants to review and make changes if required, to the account assignments created for these Receivables Activities.
Which two Receivables Activities DO NOT have account assignments to review and change?

  • A. Adjustment Activities
  • B. Unearned Discounts
  • C. Earned Discounts
  • D. Miscellaneous Receipt
  • E. Debit Memo Reversal

Answer: B,C

Explanation:
Explanation
These two receivables activities do not have account assignments to review and change because they are not posted to general ledger. They are used to calculate discount amounts for transactions and receipts. Verified References: [How You Define Receivables Activities - Oracle]


NEW QUESTION # 19
The AutoAc counting rule for the Revenue account is defined as follows:

When entering a manual invoice, the revenue account code combination is incomplete with the Department segment left blank. Which are the three reasons for this?

  • A. Revenue Reference Accounts for Salesperson were not defined for the Transaction Business Unit
  • B. Revenue Reference Accounts were entered for all salespersons.
  • C. Transaction Type was defined as Overapplication set to Yes but Post to GL set to No.
  • D. Salesperson is not required on the transaction and is left blank.
  • E. No Sales Credit salesperson has no reference accounts.

Answer: B,D,E

Explanation:
Explanation
These are the three reasons for the revenue account code combination being incomplete with the Department segment left blank. The salesperson is not required on the transaction and is left blank, so the system cannot derive the Department segment from the salesperson reference accounts. The revenue reference accounts were entered for all salespersons, so the system cannot use the default revenue account from the transaction type.
The no sales credit salesperson has no reference accounts, so the system cannot use the default revenue account from the no sales credit salesperson. Verified References: [How You Define AutoAccounting - Oracle]


NEW QUESTION # 20
You are reviewing an invoice on the Review Transaction page. After clicking the Sales Credit subtab. you notice the following breakdown: Revenue Allocation and Nonrevenue Allocation.
What is Nonrevenue Allocation?

  • A. Sales credit reversals due to credit memo creation
  • B. Sales credits associated to deferred revenue
  • C. Sales credit allocation based on billing corrections
  • D. Additional incentive-based sales credits

Answer: B

Explanation:
Explanation
Nonrevenue Allocation is the amount of sales credits that are associated to deferred revenue. It represents the portion of sales credits that are not yet recognized as revenue and are allocated to future periods. Verified References: [How You Manage Sales Credits - Oracle]


NEW QUESTION # 21
You created a new enterprise structure in the Cloud for a single country. In the structure, there are two legal entities: a single ledger and two business units (representing two warehouses, each owned by one of the legal entities). The tax regulations are common between the legal entities.
When assigning the tax regime to parties, what should you do to share all setup for Tax?

  • A. Assign one legal entity to Global Configuration and one business unit to First Party Configuration with Party Overrides.
  • B. Assign one legal entity to Global Configuration and one legal entity to Party Specific Configuration.
  • C. Assign two business units to First Party Configuration with Party Overrides.
  • D. Assign the ledger to Global Configuration Owner.
  • E. Assign both business units to Global Configuration Owner.

Answer: D

Explanation:
Explanation
This is the best option to share all setup for Tax when the tax regulations are common between the legal entities. The ledger is the highest level of party hierarchy and can be assigned as the Global Configuration Owner to share the tax regime, tax rates, and tax rules across all parties under it. Verified References: [How You Assign Tax Regimes to Parties - Oracle]


NEW QUESTION # 22
When you run Auto lnvoice. the process may generate a list of records that fail validation.
Using which two methods/features, can you display the Auto lnvoice errors in an Excel workbook?

  • A. The Manage Transactions task
  • B. The Import Exceptions Infotile
  • C. The Incomplete Infotile
  • D. The Manage Auto lnvoice Lines task

Answer: B,D

Explanation:
Explanation
To display the Auto Invoice errors in an Excel workbook, you can use either of these methods/features:
* The Import Exceptions Infotile in the Billing work area, which shows the number of records that failed validation and allows you to export them to Excel.
* The Manage Auto Invoice Lines task in the Billing work area, which enables you to search for and view import errors and export them to Excel. The other options are not correct because:
* The Incomplete Infotile shows the number of incomplete transactions, not import errors.
* The Manage Transactions task allows you to create and update transactions, not view import errors.
Verified References:
https://docs.oracle.com/en/cloud/saas/financials/23b/faofc/manage-autoinvoice.html#FAOFC-GUID-D0F4


NEW QUESTION # 23
As an implementer. while importing data from a legacy/third-parly system, you forgot to populate the accounting distribution in the RA_INTERFACE_DlSTRIBUTIONS_ALL table. What happens when you run accounting?

  • A. Neither invoice nor accounting will be created.
  • B. Invoice will be created and the system will use the AutoAccounting configuration to create accounting.
  • C. Invoice will get created but accounting will not be created.
  • D. It will return an error and the data will be stuck in the interface table.

Answer: B

Explanation:
Explanation
This is what happens when you run accounting without populating the accounting distribution in the RA_INTERFACE_DISTRIBUTIONS_ALL table. The system will use AutoAccounting to derive the accounting distribution based on your AutoAccounting rules. Verified References: [How You Import Transactions Using AutoInvoice - Oracle]


NEW QUESTION # 24
Your organization has decided to use the Portal Upload delivery method for some of their customers. You will be using this in place of other options, such as Print Email, or XML to deliver customer invoices.
Which step must be performed in the system to deliver transactions to your customers by using the Portal Upload method?

  • A. Run the Create Customer Statement process in Scheduled Processes.
  • B. Create a custom-preferred delivery method in the Manage Receivables System Options task in Functional Setup Manager.
  • C. Select Portal Upload as a delivery method on Customer Profile under Invoicing.
  • D. Select Portal Upload as a delivery method on Customer Profile under Statement and Dunning.
  • E. Create a custom preferred delivery method in the Manage Receivables Lookups task in Functional Setup Manager.

Answer: C

Explanation:
Explanation
This option allows you to assign customer accounts and sites a preferred delivery method of Portal Upload for customer transactions intended for upload to a supplier portal or external system1. References: Portal Upload and Custom Delivery Methods - Oracle


NEW QUESTION # 25
Manage Receipt Classes and Methods
Scenario
Supremo US Business unit needs to capture customer payments that will be reconciled in the Cash Management application. You need to define a receipt class and receipt method, and assign the appropriate bank account to meet this requirement.
Task:
Create a manual Receipt Class, where:
* Name of the new receipt class is XXReceipt Class (Replace XX with 03, which is your allocated User ID.)
* Receipts using this new receipt class will not be remitted
* Organization will use Cash Management to clear their receipts

Answer:

Explanation:
See the explanation below for solution.
Explanation
* Log in to Oracle Financials Cloud.
* Click on the Receipt Classes icon in the Receivables work area.
* Click on the Create button.
* In the Receipt Class window, enter the following information:
* Name: XXReceipt Class (Replace XX with your allocated user ID.)
* Creation Method: Manual
* Remittance Method: No Remittance
* Bank Account: The bank account that will be used to clear receipts for this receipt class.
* Click on the Save button.
The new manual receipt class will be created.
To make sure that receipts using this receipt class will not be remitted:
* Click on the Remittance Methods tab.
* Select the check box next to No Remittance.
* Click on the Save button.
The receipts using this receipt class will now not be remitted.


NEW QUESTION # 26
Which flexfields does Autolnvoice require to identify transactions and transaction lines, if you load the interface using a customized form?

  • A. Line-level transaction flexfield and Header-level transaction flexfield
  • B. Line-level transaction flexfield, Invoice transaction flexfield. Reference flexfield. and Link to transaction flexfield
  • C. Line-level transaction flexfield. Header-level transaction flexfield. and Reference flexfield
  • D. Line-level transaction flexfield. Header-level transaction flexfield. and Link to transaction flexfield

Answer: A

Explanation:
Explanation
These are the two flexfields that AutoInvoice requires to identify transactions and transaction lines, if you load the interface using a customized form. They are used to group transaction lines into transactions and assign transaction attributes. Verified References: [How You Define AutoInvoice Grouping Rules - Oracle]


NEW QUESTION # 27
Upon approval of a remittance batch of type Factored with Recourse, the Receivables application creates a receipt and establishes risk.
How does Receivables establish risk?

  • A. By recording short-term debt
  • B. By generating a bills receivables adjustment
  • C. By creating an on-account credit memo
  • D. By recording an entry to the Remitted Bills Receivable account

Answer: D

Explanation:
Explanation
When you approve a remittance batch of type Factored with Recourse, Receivables creates a receipt and records an entry to the Remitted Bills Receivable account to establish risk. This entry reduces the balance of the Bills Receivable account and increases the balance of the Remitted Bills Receivable account. Verified References: [How You Remit Bills Receivable - Oracle]


NEW QUESTION # 28
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