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1z0-1054-26 Oracle Financials Cloud: General Ledger 2026 Implementation Professional Questions and Answers

Questions 4

Your ledger currency is USD. At month end, you have a balance on the Accounts Payable Liability Account of 100,000 Euros, which is equivalent to 136,550 USD. This balance needs to be revalued. The month-end exchange rate for revaluation is 1 Euro = 1.3755 USD.

What two statements are true about the resulting revaluation run?

Options:

A.

There is no unrealized exchange gain or loss calculated.

B.

You have an unrealized exchange loss recorded.

C.

The original journal entry in Euros is updated.

D.

The original journal entry in Euros remains the same.

E.

You have an unrealized exchange gain recorded.

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Questions 5

You can run predefined reports to reconcile subledger application balances to General Ledger balances. Which attribute must you set up on the Manage Values page for chart of accounts segment values so that you can run the Payables to General Ledger Reconciliation report or Receivables to General Ledger Reconciliation report? '

Options:

A.

End Date

B.

Start Date

C.

Reconcile

D.

Financial Category

E.

Third Party Control Account

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Questions 6

Task 3

Manage Chart of Accounts Mappings

Scenario

Your client needs to consolidate their UK Ledger to the Canadian parent ledger. Each Chart of Accounts

has the following segments:

Company-LoB-Account-Cost Center-Product-Intercompany

Know that the Company, LoB, Product, and Intercompany segments share the same value sets.

Create a Chart of Accounts mappings to map UK Chart of Accounts to CA Chart of Accounts that meets the following specifications:

Cost Center Mapping

. Balance Sheet (0 and 000) should be mapped to

Balance Sheet

. All other cost centers should be mapped to 610

Account Mapping

. Asset accounts (in the 1000 range) should be

mapped to account 11101

. Liability accounts (in the 2000 range) should be

mapped to account 22100

. Equity accounts (in the 3000 range) should be

mapped to account 34000

. Revenue accounts (in the 4000 range) should be

mapped to account 42000

. Expense accounts (from 5000 onwards) should be

mapped to account 51100

Note:

· Do not use conditions based on parents.

. Treat any account after the 5000 range as an expense.

· Ensure all maps are numeric only.

· When creating your mapping rules for each segment

please allow for existing and future segment values

Options:

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Questions 7

Manage Chart of Accounts Structure and Instance

Scenario

Your client is implementing Oracle Fusion Cloud Financials. The decision is to have a 5-segment Chart of Accounts: Company, Cost Center, Account, Product, and Intercompany. You are working in

the General Ledger team and will be responsible for creating the Chart of Accounts Structure and Instance for the Chart of Accounts.

Task 1

Create a Chart of Accounts Structure and Instance for the following Chart of Accounts:

Note:

· Prefix all your setups with 07, where 07 is your candidate ID

· There is one balancing segment.

· Choose the appropriate segment labels.

. For the purpose of this test there is no need to deploy the flexfield.

. Valid code combinations should be added to the Code Combination table automatically.

· Shorthand aliases will not be implemented.

. Accept the defaults for the instance segments.

Options:

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Questions 8

Challenge 2

Manage Shorthand Aliases

Scenario

Your client intends to utilize the Shorthand Alias feature and would like to see how the aliases will appear when entering transactions.

Task 2

Create a shorthand alias for the US Chart of Accounts to record Revenue Domestic for Supremo Fitness, Line of Business 2, and US Operations Cost Center.

Note:

. Prefix your alias name with 07, where 07 is

your exam ID.

. There is no Product or Intercompany

impact.

Options:

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Questions 9

You need to add new transactional attributes to the journal approval notification in an implementation project. Which two Business Intelligence catalog objects should you copy (or customize) and edit?

Options:

A.

Sub template

B.

Style template

C.

Layout template

D.

Output type

E.

Data model

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Questions 10

Which three are considered legal jurisdictions?

Options:

A.

Single Country

B.

Group of Countries

C.

Post Code

D.

Identifying Zone

E.

State

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Questions 11

You are processing intercompany transactions in a country where accounting regulations require backing documents for each intercompany transfer. You decide to use the Intercompany module to ensure you can produce the relevant Accounts Payable and Accounts Receivable invoices.

How would you enable invoicing?

Options:

A.

Select the invoicing option in Intercompany System Options.

B.

Select the invoicing option when assigning the Receivables business unit.

C.

Select the invoicing option for the relevant Intercompany Organizations.

D.

Select the invoicing option for the relevant Intercompany Transaction Type.

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Questions 12

You have created an OTBI analysis with more than one view. You plan to add prompts to the report that are specific to each view.

Where should you define your prompts?

Options:

A.

View Selector

B.

Compound Layout

C.

Analysis Properties

D.

Prompts Tab

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Questions 13

The Cloud Client wants to add a global branding logo and more predefined transactional attributes to the journal approval email notification.

Which two Business Intelligence catalog objects should you copy (or customize) and edit? (Choose two.)

Options:

A.

Output type

B.

The layout-Template

C.

The Data Model

D.

The Data Source

E.

The Sub_Template

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Questions 14

You have enabled budgetary control and have a control budget set toAdvisorycontrol level. For September 2016, your budget for a given account combination is$5,000 USD.

In the same month, there is anapproved requisitionfor that account of$900and anapproved purchase orderfor that account of$2,500 USD. There is also aGeneral Ledger adjustment journal entryfor that account of$1,600 USD. Anapproved purchase order line of $400 USDis thencanceled.

Aninvoice is matchedto the purchase order for$2,100 USD.

Which two statements are true? (Choose two.)

Options:

A.

As there are cancellations for $400 USD, the system will partially reserve the funds in September 2016 and fully reserve it in October 2016.

B.

The system always consumes the budget of future periods if the limit for the current period is expired, so October 2016 budget will be considered for reservation.

C.

Funds reservation only happens for non-matched invoices, so the system will not reserve funds.

D.

Purchase order encumbrance will be released for $2,100 USD.

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Questions 15

Users with the General Accountant job role have reported that they are unable to access the UK Ledger. They require read/write access to the full ledger. The accounting configuration completed successfully.

What should you do to allow access to the ledger?

Options:

A.

Assign the UK reference set to the user/role combination.

B.

Assign the security context value of UK Ledger to the user/role combination.

C.

Create a data access set that allows access to the UK Ledger.

D.

Assign the General Accounting Manager role to those users.

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Questions 16

After completing a business requirement mapping session, it has been decided that only single Currency Journals will be entered for this Company.

To achieve this requirement, on which two objects should you enable “Limit a Journal to a Single Currency”? (Choose two.)

Options:

A.

Journal lookup codes

B.

Ledger options

C.

Journal sources

D.

Journal category

E.

Profile option

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Questions 17

In which two ways can your users personalize the Springboards and Work Areas to suit their individual

working styles? (Choose two.)

Options:

A.

They can format certain tables by hiding and showing columns, moving columns, and resizing columns

B.

Users have very little control configuring their Springboards and Work Areas; they can only resize columns

C.

They can have the System Administrator configuring pages for them using Page Composer

D.

They can use “+” under the Apps section of the News Feed homepage

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Questions 18

You have enabled the ledger option “Limit a journal to a single currency.” However, users are reporting that they can enter more than one currency when using the Create Journal task.

How would you resolve this issue?

Options:

A.

Enable the Limit Journal to the Single Currency option for the Manual category.

B.

Enable the Limit Journal to the Single Currency option for the Manual source.

C.

Enable the Limit Journal to the Single Currency option for the required currencies.

D.

Enable the Limit Journal to the Single Currency option for the ledger currency.

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Questions 19

You are implementingFinancials Cloudand are usingspreadsheetsto loadLegal Entities, Business Units, and Account Hierarchies.

Which threesetup objectscan be loaded via aspreadsheetfromFunctional Setup Manager?

Options:

A.

Complete Accounting Configuration

B.

Suppliers and Customers

C.

Banks, Bank Accounts, and Branches

D.

Setup data for Receivables and Payables product.

E.

Chart of account values, accounting calendar, and ledger

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Questions 20

What type ofusermust be defined before you can create anImplementation Project?

Options:

A.

Implementation Users

B.

All roles that will be used throughout the implementation

C.

A full-time employee that has the FSM Superuser role assigned

D.

None. The OIM system administrator user ID, XELSYSADM, which is assigned by the person provisioning the system, has full access.

E.

None. The Fusion Applications Superuser, FAADMIN, has full access to create an Implementation Project.

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Questions 21

Which two statements are true if a journal description rule is defined with sources?

Options:

A.

The description rule may be assigned to either the header or line level, or to both.

B.

The description rule can only be assigned to the journal line level.

C.

You cannot assign journal description rules to sources.

D.

The description rule can only be assigned to the header or line level.

E.

The sources must also be assigned to the accounting event class that is assigned to the journal entry rule set.

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Questions 22

What are the tables or views from which the Create Accounting program takes source data that is used in rules to create journal entries?

Options:

A.

Mapping Sets

B.

Accounting Attributes

C.

Transaction Objects

D.

Event Entities

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Questions 23

Your Oracle Fusion Cloud client needs to store balances such as floor space, number of employees, quantities purchased for use in journal allocations, and financial reporting.

Currently, in their test environment, they are unable to record statistical amounts.

What is the reason?

Options:

A.

The currency STAT does not have the statistical unit type enabled.

B.

The ledger currency does not have the derivation flag enabled.

C.

The currency STAT does not have the ISO currency flag enabled.

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Questions 24

You have just been hired to add a new subsidiary to the corporate enterprise structure in the customer ' s Oracle Fusion Cloud.

The subsidiary will capture transaction information from subledgers in the local currency and under International Financial Reporting standards (IFRS) and local GAAP for corporate reporting requirements, which will report via the use of a secondary ledger.

The secondary ledger is used only at period end; there is no need to have real-time transaction or Journal details. It is noted that most of the accounting between IFRS and Corporate GAAP is similar.

Which conversion level would you recommend to keep a thin secondary ledger?

Options:

A.

Journal ledger

B.

Adjustment only

C.

Balance level

D.

Sub-ledger level.

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Exam Code: 1z0-1054-26
Exam Name: Oracle Financials Cloud: General Ledger 2026 Implementation Professional
Last Update: Aug 22, 2026
Questions: 143
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