Exam Details

  • Exam Code
    :1Z0-1074
  • Exam Name
    :Oracle Cost Management Cloud 2019 Implementation Essentials
  • Certification
    :Oracle Certifications
  • Vendor
    :Oracle
  • Total Questions
    :79 Q&As
  • Last Updated
    :Sep 07, 2023

Oracle Oracle Certifications 1Z0-1074 Questions & Answers

  • Question 11:

    Which two things must your customer check daily in order to ensure that all their purchase order transactions from that day have been accounted for in Receipt Accounting Distribution?

    A. Review their audit receipt accrual clearing balances.

    B. Review their journal entries, including their sub-ledger accounting events and class where the charges from the purchase orders are going to be charged to.

    C. Review their accrual balances and clear them.

    D. Review their Receipt Accounting processes that show whether any processes failed and why.

    E. Review their distributions that show the debit and credit information specific to the Receipt Accounting transaction selected.

  • Question 12:

    Identify two criteria to select a specific work definition in an inventory organization when defining a cost estimation in a Cost Planning scenario

    A. Work definitions without alternates

    B. Work definitions with specific unit numbers

    C. Work definitions with the highest production priority

    D. Work definitions with the lowest production cost

    E. Work definitions with the highest costing priority

  • Question 13:

    Your client originally used Quick Setup to configure Cost Accounting However, after reviewing their costing policies, they realize that they want to cost some of their lots differently then others What must they do to accomplish this?

    A. Quick Setup generates valuation units so they just have to access those valuation units and make their changes.

    B. They cannot change their current configuration; data generated by Quick Setup cannot be changed.

    C. They must create their valuation units manually.

    D. Quick Setup generates one valuation unit so they can access this to make changes and manually create new valuation units.

  • Question 14:

    Which three tasks can be completed in the Receipt Accounting work area?

    A. Review and Approve Item Cost Profiles

    B. Review Item Costs

    C. Create Receipt Accounting Distributions

    D. Review Cost Accounting Distributions

    E. Manage Accrual Clearing Rules

    F. Create Accounting

  • Question 15:

    Identify four features provided by the Review Work Order Costs UI when displaying work order

    A. Scrap Costs

    B. Variable Costs

    C. Output Costs

    D. Incremental Costs

    E. Input Costs

    F. Standard Cost variances

  • Question 16:

    Your client wants to turn on summary for GL posting, but they want the Subledger Accounting to contain

    every transaction unsummarized for detailed analysis and drill down.

    How do you accomplish this?

    A. Turn off merge matching lines in the journal line rule.

    B. Turn off the summarize flag in the journal line rule.

    C. Write a custom report.

    D. Turn on detailed posting for GL in the ledger setup.

    E. Extract distribution accounting entries.

  • Question 17:

    What are three cost method choices that are available in Cost Accounting?

    A. Period end average cost

    B. Actual cost (LIFO or Last In First Out)

    C. Periodic average cost

    D. Standard cost

    E. Perpetual average cost

    F. Actual cost (FIFO or First In First Out)

  • Question 18:

    Your client has accounting rules that need specific customization. Which two options allow them to accomplish this"1

    A. Copy and rename predefined subledger journal entry rule sets before modifying them.

    B. Use a different journal entry rule set for each ledger with a different accounting convention.

    C. The subledger journal entry rule set does not need the same accounting event class as the accounting method.

    D. Journal entry rule sets do not require accounting rules.

    E. The subledger journal entry rule set does not need the same accounting event type as the accounting method.

  • Question 19:

    Your client only wants to cost inventory items and third party costs. Which two modules are they required to implement to ensure this functionality?

    A. Receipt Accounting

    B. Cost Accounting

    C. Landed Cost Management

    D. Inventory Management

    E. Product Model

  • Question 20:

    You are establishing the cost for a make assembly. When we run Cost Rollup, it is not rolling up and the Assembly shows "0" cost. However, item costs are available for child (buy) components. In the review work order cost, we are able to see child components costs, but not the rollup cost of the assembly. Identify two reasons this happened.

    A. The item has no on-hand inventory.

    B. The assembly item is marked as Perpetual Average costed.

    C. Outstanding purchase orders have not been received.

    D. The Work Definition is incomplete.

    E. Burdens have not been established for the item

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