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1z0-1060-25 Oracle Accounting Hub Cloud 2025Implementation Professional Questions and Answers

Questions 4

While creating an accounting method, you are unable to select a journal entry rule set for a combination of event class and event type.

What could be the reason for this issue?

Options:

A.

The accounting method is either not attached to any chart of accounts or is attached to another chart of accounts than the journal entry rule set

B.

Journal line rules assigned to the journal entry rule set are not attached to the same chart of accounts to which the accounting method is attached

C.

Description rules assigned to the journal entry rule set are not attached to the same chart of accounts to which the accounting method is attached

D.

Supporting references assigned to the journal entry rule set are not attached to the same chart of accounts to which the accounting method is attached

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Questions 5

Your client, a banking organization, is currently using different transaction systems for different types of loans including vehicle loans, personal loans, education loans, and housing loans. You recently uploaded the source system data that includes Loan Origination, Loan Interest Accrual, Loan Scheduled Payment, Loan Interest Adjusted, Loan Late Payment, and Loan Charge off as event types.

The customer now asks you to add another transaction type called Loan Interest Accrual Reversal.

What should be your response to the customer?

Options:

A.

Loan Interest Accrual Reversal can be added as a new event type by using the update spreadsheet template

B.

The source system should be registered again by including the Loan Interest Accrual Reversal event type

C.

A new transaction type cannot be added after the source system is registered

D.

Loan Interest Accrual Reversal can be added as a new event type from the user interface

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Questions 6

Your client is part of the financial services industry and manages various types of transactions, such as Notional Amount on Trade Positions, Premium Amount, Premium Settlement, and Premium Sweep, in their source system. They want to retrieve the value of the Natural Account segment directly from the source system and are seeking your advice on this requirement.

Which TWO should you factor into your advice on how to register the source system using the spreadsheet template to meet your client requirement?

Options:

A.

Chart of Accounts Value column should be updated with a value of "Yes"

B.

Natural Account should be defined as a "Number" type source

C.

Natural Account should be defined as a "Text" type source

D.

Natural Account should be defined as a "Long Text" type source

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Questions 7

Your client has implemented the Oracle Cloud Accounting Hub solution and they are importing the transaction data from the source system on a daily basis. While importing the data from the source system, some transactions are not getting accounted properly. They want these invalid transactions purged and the corrected transactions imported again.

Which job would you submit to purge the invalid transactions?

Options:

A.

Import Accounting Transactions Job with Purge Invalid Transaction parameter set to 'Yes'

B.

Accounting Hub Maintenance Job with Mode set to Purge Invalid or Unaccounted Transactions

C.

Purge Invalid and Unaccounted Accounting Hub Transactions Job

D.

Purge Accounting Hub Transactions Job

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Questions 8

Challenge 1: Manage Journal Line Rule

TASK

Create 2 Journal Line Rule

Interest Receivable

Interest Income

Subledger Application: AHC Loan

Process Category: AHC Loan

Event Class: AHC Loan

Event Type: Loan Origination, Interest Accrual, Payment

Options:

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Questions 9

Challenge 4: Manage Description Rule

TASK

Create Description Rule

Subledger Application: AHC Billing

Process Category: AHC Billing

Event Class: AHC Billing

Event Type: Customer Billing, Customer Pay In, Customer Refund, Customer Settlement

Options:

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Questions 10

Your client has implemented the Accounting Hub Cloud solution. They import their transaction data from the source system on a daily basis, and while doing so, some transactions are not being accounted properly. They want these invalid transactions purged and the correct transactions re-imported.

Which job would you submit to purge the invalid transactions?

Options:

A.

Set Accounting Hub Maintenance Job with Mode set to Purge Invalid or Unaccounted Transactions

B.

Import Accounting Transactions Job with Purge Invalid Transaction parameter set to "Yes"

C.

Purge Invalid and Unaccounted Accounting Hub Transactions Job

D.

Purge Accounting Hub Transactions Job

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Questions 11

Challenge 2: Manage Account Rule

TASK

Create Account Rule with 3 priorities

Name of Account Rule: Revenue Account

Subledger Application: AHC Billing

Process Category: AHC Billing

Event Class: AHC Billing

Event Type: Customer Billing, Customer Pay In, Customer Refund, Customer Settlement

Options:

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Questions 12

Challenge 3: Manage User Define Formulas

TASK

Create User Defined Formula for Admin Charges

Subledger Application: AHC Billing

Process Category: AHC Billing

Event Class: AHC Billing

Event Type: Customer Billing, Customer Pay In, Customer Refund, Customer Settlement

Options:

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Exam Code: 1z0-1060-25
Exam Name: Oracle Accounting Hub Cloud 2025Implementation Professional
Last Update: Aug 17, 2025
Questions: 80
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