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

  • Exam Code: 1Z0-1060-20日本語
  • Exam Name: Oracle Accounting Hub Cloud 2020 Implementation Essentials (1Z0-1060-20日本語版)
  • Updated: Sep 13, 2026     Q & A: 62 Questions and Answers

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

SectionWeightObjectives
Implementation and Security10%- Implementation lifecycle
- Role-based access control
- Troubleshooting and best practices
Accounting Hub Overview10%- Business benefits and use cases
- Architecture and core concepts
- Subledger Accounting (SLA) overview
Source System Integration20%- File-based data import and mapping
- Register source systems
- Define transaction objects and attributes
Reporting and Inquiry15%- Reconciliation and diagnostics
- Accounting Hub reports and dashboards
- Journal inquiry and drill-down
Transaction Processing15%- Create Accounting process
- Transaction validation and error handling
- Transfer to General Ledger
Accounting Rules Configuration30%- Supporting references and accounting methods
- Account rules and mapping sets
- Description and journal line rules
- Event model and event classes/types

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

Question #1

新しいソースシステムをAccountingHubに登録し、短期間稼働させた後、顧客はトランザクションソースを追加する必要があることを認識しました。あなたは何をするべきか?

  • A. 現在のソースシステム登録スプレッドシートに新しいトランザクションソースを追加し、スプレッドシートファイルを再アップロードします。
  • B. これらの新しいトランザクションソースを含む別のソースシステムを登録します。
  • C. ユーザーインターフェースから新しいトランザクションソースを追加します。
  • D. これは実装できないことを伝えます。
Reveal Solution  Discussion  0

Correct Answer: C  🗳️

Question #2

トランザクションヘッダーと行情報をリンクするために使用されるトランザクションソースはどれですか?

  • A. 取引日
  • B. トランザクション番号
  • C. トランザクションキー
  • D. トランザクションタイプ
Reveal Solution  Discussion  0

Correct Answer: B  🗳️

Question #3

顧客には、事前定義されたレポートでは見つからない補助元帳仕訳に関する追加情報を提供するというビジネス要件があります。
この要件をどのように満たすことができますか?

  • A. 関連するサブジェクトエリアを含むOTBI分析を作成します。
  • B. クエリデザイナ機能を使用してスマートビューレポートを作成します。
  • C. アカウントモニターまたはアカウントインスペクターを使用して、必要な情報を取得します。
  • D. すべてのディメンションを含むFinancial ReportingStudioレポートを作成します。
Reveal Solution  Discussion  0

Correct Answer: A  🗳️

Question #4

仕訳が最終モードで作成されるときに、補助元帳仕訳にどのような順序を割り当てることができますか?

  • A. 仕訳入力シーケンス
  • B. アカウンティングシーケンス
  • C. レポートシーケンス
  • D. ドキュメントシーケンス
Reveal Solution  Discussion  0

Correct Answer: B  🗳️

Question #5

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。
典型的なトランザクション情報はヘッダーレベルで何になりますか?

  • A. 線種
  • B. 顧客番号
  • C. 通貨
  • D. 金額
Reveal Solution  Discussion  0

Correct Answer: B  🗳️

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