1z0-1087-22
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Oracle
1z0-1087-22 Exam
Oracle Account Reconciliation 2022 Implementation Professional
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All the information you need to pass Oracle Account Reconciliation 2022 Implementation Professional 1z0-1087-22 exam and free practice exam verified by ExamDiscuss exam experts.
Oracle 1z0-1087-22 certification exam is a valuable credential for professionals who want to advance their careers in the field of financial management and accounting. Oracle Account Reconciliation 2022 Implementation Professional certification demonstrates that you have the skills and knowledge needed to implement the Oracle Account Reconciliation Cloud Service and provides you with a competitive edge in the job market.
To become an Oracle Account Reconciliation 2022 Implementation Professional, candidates need to pass the 1z0-1087-22 certification exam. 1z0-1087-22 exam consists of 60 multiple-choice questions that must be completed within 105 minutes. 1z0-1087-22 exam is available in English and Japanese and can be taken at any Pearson VUE testing center. Achieving this certification demonstrates that the candidate has the skills and knowledge required to implement and configure Oracle Account Reconciliation Cloud Service, and can help to advance their career in the field of finance and accounting.
| Topic | Details |
|---|
| Topic 1 | - Identify Use Cases – Clearing or Accrual Reconciliations, Reconciling Debits and Credits
- Add calculated attributes and filters
|
| Topic 2 | - Create Formats and Profiles for Transaction Matching reconciliations
- Describe Reconciliation Compliance and Transaction Matching
|
| Topic 3 | - Describe Individual, Group, and Summary Reconciliations
- Review, Approve, Reject, and Reopen reconciliations
|
| Topic 4 | - Describe Reconciliation Methods
- Transfer reconciliations between users
- Configuring Reconciliation Compliance
|
| Topic 5 | - Import Data Using Data Management
- Create and delete Reconciliations
- Review Transaction Matching Period-End Balancing
|
| Topic 6 | - Create Match Types (Data Sources, Attributes, Transaction Types)
- Explain Processes for Reconciliation Compliance (5 step process)
|
| Topic 7 | - Set Up Organization Units and Calendars
- Load Data Using Data Integration
- Perform Transaction Matching
|
| Topic 8 | - Describe 5 balancing scenarios (Golden Rules)
- Import Transactions to Data Sources
- Define Currency Rates and Currency Buckets
|
| Topic 9 | - Configure Match Processes (including matching rules)
- Export adjustments or transactions as journal entries
|