Format: Multiple Choice
Duration: 90 Minutes
Number of Questions: 55
Passing Score: 62%
Validation: This exam has been validated against 22A/22B
Policy: Cloud Recertification
Earn associated certifications Oracle Cost Management Cloud 2022 Certified Implementation Professional

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Review exam topics

Managerial Accounting Overview
Explain Cost Accounting and how it integrates with other modules
Describe the purpose of Cost Accounting, Receipt Accounting, and Landed Cost
Explain key implementation decision points

Receipt Accounting Overview
Describe the Receipt Accounting Work Area
Explain Receipt Accounting
Configure Accrue at period end
Receipt Accounting processes
Manage daily Receipt Accounting tasks

Cost Accounting Overview
Describe the Cost Accounting Work Area
Explain Cost Accounting
Configure Costing methods (Standard, Perpetual, and Actual)
Create Cost Accounting Key setups (Cost Org, Cost Book, Relationships, Elements, Components, Component Mappings, Valuation Structures, Cost Profiles, and Default Cost Profiles)
Explain the Role of Costing Key setups and Cost policies
Perform Cost Accounting processes & Reporting
Manage Daily Cost Accounting tasks

Standard Costs
Manage Cost scenarios
Create Standard Costs, Resource Rates, and Overhead Rates
Manage rolled up Costs
Analyze and resolve Standard Cost variances

Landed Cost Overview
Describe the Landed Cost Work Area
Explain Landed Cost
Configure Landed Cost Management
Manage Charge Names, Referance types & Routes

Subledger Accounting
Explain the Receipt & Cost Accounting Subledger
Create Account Rules
Create Journal Line Rules
Create a Subledger Journal Entry Rule set
Create an Accounting Method
Explain the relationships of Subledger Components
Analyze and resolve errors and exceptions

Costing and Inventory Foundations
Explain Common Inventory Configurations

Projects Enabled Supply Chain
Explain Common Projects Enabled SCM Configurations
Manage Project enabled Work Orders
 


QUESTION 1
Select the two valid relationships between subledger components.

A. The accounting method holds the accounting rules by Event Class and Event Type.
B. The journal lines hold the journal entry rule sets.
C. The accounting method groups journal entry rule sets by Event Class and Event Type.
D. Journal entry rules are used to hold accounting rules.
E. Journal entry rule sets hold journal rules and accounting rules.

Answer: DE
https://docs.oracle.com/cd/E51367_01/financialsop_gs/FAISL/F1456683AN11328.htm


QUESTION 2
The process to map the AP invoices to the trade operation charges has completed.
Which entity did the application use to do this?

A. Material Receipts
B. Charge Names
C. PreReference Types
D. Routes
E. Trade Operation Template

Answer: C


QUESTION 3
If the Create Accounting process ends with errors or warnings, which three statements outline places
you can go to get more detailed information about the specific errors and warnings?

A. Query the transaction from Review Cost Accounting Distributions to see the error message.
B. Review errors in the Create Accounting Execution report.
C. Refer to the Accounting Event Diagnostic report.
D. Refertothe Accounting Event Diagnosticlog.
E. Review errors in the Create Accounting Execution log.

Answer: B


QUESTION 4
Which two types of costs are included in the cost of contract manufactured items?

A. The cost of Items that the contract manufacturer had to purchase to perform the contract manufacturing service, and the cost of resources used by the contract manufacturer
B. The cost of items that the original equipment manufacturer (OEM) owns and has provided to the contract manufacturer for use in the process of making the output Items
C. The cost of resources consumed at the OEM’s factory
D. The cost of the contract manufacturing service Item. This is the price that the contract
E. Manufacturer will charge to make the outputs and would normally be enough to cover their costs and include a fair profit.

Answer: AB


QUESTION 5
Yourclient wants to set up some of their items as expense items and then enable them to be accrued
at period end for one of their business units.
Which two configurations will support this request?

A. Product Information Item > Search and select item > Specifications > Manufacturing > Verify that
Inventory Asset Value is set to “No”.

B. Manage Common Options for Payables and Procurement > Select the business unit > Expense
Accruals > Set Accrue Expense Items to Period End.

C. Configure Procurement Business Function > Select the business unit > Set Select Receipt Close
Point to Accrue at Period End.

D. Product Information Item> Search and select theexpense item> Specifications > Manufacturing >
Verify that Inventory Asset Value is set to “Yes”.

E. Configure Procurement Business Function > Select the business unit > Set Select Receipt Close
Point to Accrue at At Receipt.

F. Manage Common Options for Payables and Procurement > Select thebusiness unit > Expense
Accruals > Set Accrue Expense Items to At Receipt.

Answer: CF

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