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Oracle 1z0-1087-23 Exam With Confidence Using Practice Dumps

Exam Code:
1z0-1087-23
Exam Name:
Oracle Account Reconciliation 2023 Implementation Essentials
Vendor:
Questions:
79
Last Updated:
Apr 30, 2025
Exam Status:
Stable
Oracle 1z0-1087-23

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Oracle Account Reconciliation 2023 Implementation Essentials Questions and Answers

Question 1

To which do you assign default currencies?

Options:

A.

currency buckets

B.

account ids

C.

organizational units

D.

formats

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Question 2

What happens when you load balances to a reconciliation with the status Closed or Open With Reviewer and the balance is different than what was already Certified?

Options:

A.

The status reverts to Pending.

B.

The import fails.

C.

The status reverts to Open with Preparer.

D.

The status is unchanged but a notification is sent to the related users.

Question 3

Which transaction matching method is used to match the transactions between two systems if period-end reconciliation is not the objective?

Options:

A.

Transaction Matching Only

B.

Variance Analysis with Transaction Matching

C.

Balance Comparison with Transaction Matching

D.

Account Analysis with Transaction Matching