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Oracle 1z0-408 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Topic 1: Intercompany and Consolidation | - Advanced General Ledger Features
|
| Topic 2: Journal Processing | - Journal Management
|
| Topic 3: Enterprise Structure and Configuration | - Enterprise Setup
|
| Topic 4: Allocations and Period Close | - Period-End Processing
|
| Topic 5: Financial Reporting and Analysis | - Reporting Capabilities
|
| Topic 6: General Ledger Fundamentals | - General Ledger Overview
|
Oracle Fusion Financials: General Ledger 2014 Essentials Sample Questions:
1. When working with Essbase, versions of the tree hierarchy as defined in the Fusion not available in the Essbase balances cube.
What should you do to correct this situation?
A) Redeploy the chart of accounts.
B) Make sure to flatten the rows of the tree version.
C) Make sure the tree is active.
D) Make sure the tree version was published successfully.
2. You are reconciling your subledger balances and you need a report that includes beginning and ending account balances and all transactions that constitute the account's activities.
What type of report will provide this type of information?
A) Aging Reports
B) An Online Transactional Business Intelligence (OTBI) report to create ad hoc queries on transactions and balances
C) Journals Reports
D) Account Analysis Reports
3. Identify three differences between Oracle Transactional Business Intelligence (OTBI) and Oracle Business Intelligence Applications (OBIA).
A) OBIA works for multiple sources including E-Business Suite, PeopleSoft, JD Edwards, SAP, andFusion Applications.
B) OBIA is based on the universal data warehouse design with different prebuilt adapters that canconnect to various source application
C) Both OBIA and OTBI provide a set of predefined reports and dashboards and a library of metrics that help to measure business performance
D) OTBI allows you to create custom reports from real-time transactional data against thedatabase directly
E) Cloud customers can use both OTBI and OBIA.
4. You want to be notified of anomalies in certain account balances in real time. What is the rnost efficient way to do this?
A) Use Account Inspector.
B) Open a Smart View file saved on your desktop.
C) Perform an account analysis online.
D) Create an Account Group using Account Monitor.
5. What's the difference between subject areas that append the word "Real Time" and those that do not?
A) The "Real Time" subject areas are based on real-time transactions in Fusion Applications, and all others are based on data stored in the Oracle Business Intelligence Applications data warehouse.
B) The "Real Time" subject areas are based on real-time transactions and all others are based on Historical data.
C) There is no difference.
D) The "Real time" subject areas are based on sub ledger transactions and all others are based on general ledger balances.
Solutions:
| Question # 1 Answer: A | Question # 2 Answer: C | Question # 3 Answer: A,C,D | Question # 4 Answer: C | Question # 5 Answer: B |


