Oracle 1Z0-1060-20日本語 : Oracle Accounting Hub Cloud 2020 Implementation Essentials (1Z0-1060-20日本語版)

1Z0-1060-20日本語 real exams

Exam Code: 1Z0-1060-20-JPN

Exam Name: Oracle Accounting Hub Cloud 2020 Implementation Essentials (1Z0-1060-20日本語版)

Updated: Sep 22, 2026

Q & A: 62 Questions and Answers

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Oracle 1Z0-1060-20日本語 Exam Syllabus Topics:

SectionWeightObjectives
Transaction Processing15%- Accounting Processing
  • 1. Accounting generation
  • 2. Transaction validation
  • 3. Error handling and diagnostics
  • 4. Transfer to General Ledger
Accounting Rules and Configuration30%- Subledger Accounting Configuration
  • 1. Mapping sets
  • 2. Journal entry rules
  • 3. Description rules
  • 4. Account rules
  • 5. Supporting references
  • 6. Accounting methods
Accounting Hub Overview10%- Accounting Hub Fundamentals
  • 1. Accounting Hub business benefits
  • 2. Source systems integration
  • 3. Subledger Accounting overview
  • 4. Accounting Hub architecture
Source System Integration20%- Transaction Data Integration
  • 1. Transaction object configuration
  • 2. Source system registration
  • 3. File-based data import
  • 4. Source data mapping
  • 5. Source system setup
Implementation and Security10%- Administration and Security
  • 1. Role-based security
  • 2. Implementation lifecycle
  • 3. Best practices and troubleshooting
  • 4. User management
Reporting and Inquiry15%- Reporting Capabilities
  • 1. Transaction drill-down
  • 2. Reconciliation reporting
  • 3. Journal inquiry
  • 4. Accounting Hub reporting

Oracle Accounting Hub Cloud 2020 Implementation Essentials (1Z0-1060-20日本語版) Sample Questions:

Question #1

補助元帳仕訳の特定のトランザクション属性を追跡するために使用されるのはどれですか?

  • A. アカウントルール
  • B. ルックアップ値のルール
  • C. サポートリファレンス
  • D. 値セットルール
Reveal Solution  Discussion  0

Correct Answer: C  🗳️

Question #2

サポートする参照残高を表示するために使用できるのはどれですか?

  • A. Business IntelligencePublisherを使用してカスタムレポートを作成します。
  • B. Oracle Transactional Business Intelligenceを使用して、補助元帳会計-サポート参照リアルタイムサブジェクト領域を使用して分析を作成します。
  • C. 標準のサポート参照残高レポートを送信します。
  • D. Supporting Reference BalanceInquiryページを使用します。
Reveal Solution  Discussion  0

Correct Answer: B,D  🗳️

Question #3

ビジネスユースケースを考えると:
「NewTrucks」は、米国でレンタル事業でトラックのフリートを運営しています。トラックの大部分は所有されています。ただし、場合によっては、「ニュートラック」が第三者から顧客にレンタルして他のトラックを調達することがあります。トラックがリースされている場合、内部ソースコードは「L」です。トラックを所有している場合、内部ソースコードは「O」です。これにより、仕訳入力に使用されるさまざまな勘定科目が識別されます。顧客は、指定された期間、トラックのレンタルを開始する契約に署名します。保険料は契約に含まれており、レンタル期間にわたって認識されます。トラックのメンテナンスについては、「ニュートラック*」に子会社があります。
独自の損益エンティティを維持する「FixTrucks」。すべての収益、割引、および保守費用を追跡するには、「New Trucks」で、保守手数料の合計、未収債権の合計、賃貸料の割引、および未払および認識された保険料収入の合計を表示できる必要があります。 「NewTrucks」と「FixTrucks」は同じ国にあり、勘定科目表と会計規則を共有しています。
何台の元帳を設定する必要がありますか?

  • A. 1つのプライマリ元帳
  • B. 1つのプライマリ、1つの再ポッティング通貨台帳
  • C. 1つのプライマリ、1つのセカンダリ元帳
  • D. 2つの主要な元帳
Reveal Solution  Discussion  0

Correct Answer: A  🗳️

Question #4

アカウンティングハブのセットアップタスクを実行するために必要な3つの職務の役割はどれですか?

  • A. アカウンティングハブのメンテナンス
  • B. アカウンティングハブの統合
  • C. 補助元帳会計マネージャー
  • D. アカウンティングハブ管理
  • E. アプリケーション実装コンサルタント
Reveal Solution  Discussion  0

Correct Answer: B,D,E  🗳️

Question #5

最低限必要な会計属性の割り当てに含まれていないものは何ですか?

  • A. 分布タイプ
  • B. 会計日
  • C. 2番目の配布識別子
  • D. 最初の配布識別子
Reveal Solution  Discussion  0

Correct Answer: C  🗳️

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