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Oracle Financials Cloud: General Ledger 2017 Implementation Essentials 1Z0-960 Exam
Oracle Financials Cloud: General Ledger 2017 Implementation Essentials 1Z0-960 Exam is related to Oracle Financials Cloud General Ledger 2017 Certified Implementation Specialist Certification. This exam validates the ability to configure the chart of accounts, set up accounting hierarchies, configure the legal entity structure and define the relationship to the chart of account. This exam also deals with the ability to explain the secondary ledger reporting currencies and design the chart of accounts and segment level rules for intercompany. This exam also verifies the strong foundation and expertise in selling or implementing Oracle Financials Cloud, Oracle Fusion Financials Cloud Service Solutions.
Oracle 1z1-960 Exam is meant to enhance the skills of financial professionals and give them more insight into the latest general ledger features of the Oracle Financial Cloud. 1z0-960-JPN exam allows the candidates to gain comprehensive knowledge of the most advanced functions of Oracle and manage the implementation of general ledger features effectively. Through the exam, the candidates can further polish their skills in finance management and get the industry-recognized certification that can help them achieve their career goals.
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The Oracle 1z0-960-JPN exam evaluates candidates' knowledge of financial accounting, reporting, and analysis. It covers the fundamentals of GL accounting, financial reporting, journal entries, intercompany and multicurrency transactions, and period-close procedures. Additionally, candidates will need to demonstrate their expertise in setting up the Chart of Accounts, understanding the ledger structure, and conducting implementations in various settings.
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Oracle 1z0-960日本語 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Reporting and Analytics | - Implement OTBI and GL subject areas - Use Financial Reporting Studio - Perform analysis with Smart View - Use General Accounting Dashboard |
| Subledger Accounting | - Create and manage accounting rules - Process subledger accounting entries - Define journal description rules - Identify supporting references |
| Budgetary Control and Encumbrance | - Set up encumbrance accounting - Monitor budget consumption - Configure budgetary control |
| Period Close | - Process revaluations and translations - Perform consolidations and reconciliations - Manage period close process |
| Intercompany Processing | - Configure intercompany system options - Set up intercompany balancing rules - Process and reconcile intercompany transactions - Design intercompany segment rules |
| Journal Processing | - Configure allocations and periodic entries - Set up journal approval rules - Define secondary ledgers and reporting currencies - Process manual and automated journal entries |
| Enterprise Structures | - Configure Chart of Accounts security - Define legal entity structure - Configure Chart of Accounts - Set up accounting hierarchies and calendars |



