Weekend Sale Special - Limited Time 65% Discount Offer - Ends in 0d 00h 00m 00s - Coupon code: top65certs

Account Reconciliation 1z0-1087-23 Exam Questions and Answers PDF

Page: 5 / 6
Total 79 questions

Oracle Account Reconciliation 2023 Implementation Professional Questions and Answers

Question 17

To which do you assign default currencies?

Options:

A.

currency buckets

B.

account ids

C.

organizational units

D.

formats

Question 18

Which two are properties of the organizational unit? (Choose two.)

Options:

A.

work days

B.

calendar

C.

language

D.

tax jurisdiction

Question 19

The transaction matching period-end reconciliation displays an unexplained difference other than zero. Which two are possible explanations? (Choose two.)

Options:

A.

Currency exchanges rates are out of date.

B.

Journal adjustments created were not posted.

C.

You do not have security access to all the transactions.

D.

The data load for transactions was incomplete.

Question 20

Which statement regarding user-defined attributes is FALSE?

Options:

A.

You can assign access by user role.

B.

They can include calculated values.

C.

They can be assigned default value.

D.

You can no longer add/edit attributes after reconciliations are created.

Page: 5 / 6
Total 79 questions