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Online 1Z0-516 free questions and answers of New Version:
NEW QUESTION 1
Which three activities would use summary accounts? (Choose three.)
- A. creating a monthly recurring standard journal entry to amortize goodwill
- B. allocating the total monthly costs of the Information Services department to other departments
- C. estimating a sales commission accrual based on the total of all product sales for each division
- D. formulating a budget for employee benefits in each company based on the total of all budgeted employee salaries
Answer: BCD
NEW QUESTION 2
Which operation is allowed in a BMQL query?
- A. SELECT, INSERT, and DELETE
- B. SELECT and UPDATE
- C. SELECT, INSERT, and UPDATE
- D. SELECT
Answer: B
NEW QUESTION 3
Select three statements that apply to Interface Data Transformer (IDT). (Choose three.)
- A. It ensures reapplication of the same rules each time you transfer.
- B. IDT provides greater flexibility by performing no validation on the imported data.
- C. User-defined conditions enable you to control when transformation rules must be applied.
- D. IDT provides automatic data conversion that converts disparate data formats into an Oracle format.
- E. It makes exporting of data from Oracle General Ledger into external feeder systems much easier and less time consuming.
Answer: ACD
NEW QUESTION 4
Identify two options to which transactions can be forwarded using forwarding rules. (Choose two.)
- A. any of the users who are part of the Approval group
- B. any email address registered in the CPQ Cloud system
- C. users
- D. user groups
Answer: CD
NEW QUESTION 5
What is the correct method to add new parts data to the CPQ Cloud database?
- A. Use the “Import from Source” function in the Migration Center to connect to the remote part system and upload the part data into a .csv file, put the .csv file in a compressed ZIP file, and use Bulk Upload to upload the part data to the CPQ Cloud site.
- B. Use the “Import from Source” function in the Migration Center to connect to the remote part system and upload the part data directly to the CPQ Cloud database.
- C. Perform a bulk-download of at least one part to capture the part file format that the CPQ Cloud site uses, populate the new part data into the downloaded part file (.csv file), enter “add” in the Update column for each new part, save the spreadsheet as a .csv file, put the .csv file in a compressed zip file, and use Bulk Upload to upload the part data to the CPQ Cloud site.
- D. Export the part data from your current part system into a .csv file, put the .csv file into a compressed zip file, and use Bulk Upload to upload the part data to the CPQ Cloud site.
- E. Use Bulk Upload to upload the data from the remote part system into a .csv file and import the file into the CPQ Cloud site.
Answer: A
NEW QUESTION 6
Identify three ways in which subledgers transfer information to General Ledger. (Choose three.)
- A. balances
- B. batch transfer
- C. detail journals
- D. line-level records
- E. summary journals
Answer: BCE
NEW QUESTION 7
Identify the profile option that is required to enable Multi-Org Access Control for multiple Operating Units.
- A. HR: User Type
- B. MO: Operating Unit
- C. MO: Security Profile
- D. HR: Business Group
- E. MO: Default Operating Unit
Answer: C
NEW QUESTION 8
What are three valid reasons for a Configuration rule failing to execute? (Choose three.)
- A. A runtime error occurs within the rule, which is firing before the current rule
- B. The status of the rule is set to Inactive
- C. The rule’s Condition attributes are hidden in Configuration Layout
- D. The attributes used in the rule are not added in Configuration Layout
Answer: BCD
NEW QUESTION 9
XYZ Corporation has five segments in its accounting flexfield. For a special profit-and-loss report, they want to sort by the fourth segment, which is “product.” Select the element that would meet this need.
- A. row set
- B. row order
- C. content set
- D. column set
Answer: B
NEW QUESTION 10
Which attribute type cannot be displayed on the line item grid?
- A. HTML attributes
- B. Currency attributes
- C. Text attributes
- D. Single-select menu attributes
Answer: C
NEW QUESTION 11
When summary account templates are associated with the check-level advisory of budgetary control funds, what two actions must you perform? (Choose two.)
- A. The formula must be identified.
- B. The currency must be identified.
- C. The amount type must be identified.
- D. A debit or credit balance type must be assigned.
Answer: CD
NEW QUESTION 12
Given the following code:
Which statement will return the value for results as 25.0 when it is put in place of the blank line shown above the “}else{“ statement?
- A. results = stringtofloat (var);
- B. results = stringtointeger (var);
- C. results = atoi (var);
- D. results = atof (var);
Answer: B
NEW QUESTION 13
Given the following function: replace(str, old, new, [n]) What does [n] specify?
- A. an array of the old values
- B. the number of occurrences of the old that will be replaced from the beginning
- C. the number of occurrences of the old that will be skipped from the beginning
- D. an array of the new values
Answer: D
NEW QUESTION 14
The client's GL accountant comes to you with a problem. A journal cannot be posted because it has not been approved. The preparer cannot submit the journal for approval because the Approve button is disabled in the Enter Journals form and the supervisor has not received a notification requesting the approval. What could be the possible cause for this problem?
- A. The profile option GL: Allow Preparer Approval must be reset.
- B. One of the GL account code combinations in the journal is invalid.
- C. Authorization limits have not been defined properly and the GL period is closed.
- D. Budgetary control has been enabled for the set of books and funds have not been reserved for the journal.
Answer: D
NEW QUESTION 15
In the Multi-Org model of Oracle E-Business Suite Release 12, which organization type owns Bank Account?
- A. Ledger
- B. Legal Entity
- C. Operating Unit
- D. Balancing Entity
- E. Business Group
Answer: B
NEW QUESTION 16
Choose three required steps while performing the accounting setup in the Accounting Setup Manager. (Choose
three.)
- A. Define operating units.
- B. Update accounting options.
- C. Complete the accounting setup.
- D. Define intercompany balancing rules.
- E. Create the accounting setup structure.
- F. Assign balancing segment values to legal entities.
Answer: BCE
NEW QUESTION 17
Your sales users want to print a Proposal document from a transaction in their preferred languages.
What are the Oracle-recommended steps necessary to address this use case using Document Designer where the template structure differs for each language?
- A. Create language-specific templates with different names, provide translations and design for each of these templates, link these templates to a single print action by using a printer-friendly XSL view.
- B. Create language-specific templates with the same name, provide translations and design for each of these templates, link these templates to a print action by using the printer-friendly XSL view.
- C. Create a multi-language template, provide translation for each language, and link this template to the Print action by using the printer-friendly XSL view.
- D. Create language-specific templates with different names, provide translations for each of these templates, and link these templates to a single print action each by using printer-friendly XSL views.
Answer: C
NEW QUESTION 18
The Related Parts data table exists in the QA environment and in the production environment. The table has 3,000 records in the QA environment and 4,000 records in the production environment.
How many records will be present in the data table in the production environment if this table is migrated from the QA environment?
- A. 1,000
- B. 7,000
- C. 4,000
- D. 3,000
Answer: C
NEW QUESTION 19
A customer sets up a BOM mapping for a Configuration model using a single simple Table-Based BOM Mapping Configuration rule, as well as the BOM Item Definition and BOM Item Mapping Tables. When reviewing their implementation, they notice the following:
The BOM Root Items Administration List shows the root BOM item and its child BOM items correctly.
No errors are displayed. (Accessed from Admin > Products > BOM > BOM Root Items List)
The BOM Mapping Administration List shows no root BOM item or child BOM items. No errors are displayed. (Accessed from the BOM Mapping rule’s “Save and View Details” button)
Which filed have they incorrectly populated in their BOM Mapping Tables?
- A. “Configurable Attribute Variable Name” in the BOM Item Mapping Table
- B. “Parent BOM Map Variable Name” in the BOM Item Mapping Table
- C. “Root Variable Name” in the BOM Item Definition Table
- D. “Parent Variable Name” in the BOM Item Definition Table
- E. “Part Number” in the BOM Item Definition Table
- F. “BOM Item Variable Name” in the BOM Item Mapping Table
Answer: D
NEW QUESTION 20
Identify three types of data written to different log files that you can find in the Error Logs menu. (Choose three.)
- A. email sending and receiving
- B. administration changes
- C. output of print servers
- D. modsecurity messages
- E. performance information
- F. server messages
Answer: BDF
NEW QUESTION 21
Select two statements that are correct for the secondary tracking segment. (Choose two.)
- A. Only the natural account segment or the balancing segment can be specified as the secondary tracking segment.
- B. Any segment that is specified as the secondary tracking segment also must be specified as the management segment.
- C. Any segment, except the natural account segment or the balancing segment, can be specified as the secondary tracking segment.
- D. This segment will be paired with the balancing segment when generating account balances for retained earnings account, unrealized gains or losses account, and the cumulative translation adjustment account.
- E. This segment will be paired with the natural account segment when generating account balances for retained earnings account, unrealized gains or losses account, and the cumulative translation adjustment account.
Answer: CD
NEW QUESTION 22
In the course of Implementing Oracle General Ledger, you and your customer have created a number of Financial Statement Generator reports in a test environment. These reports have been tested and you are now ready to create them in your production environment. You are ready to run the FSG Transfer program.
What two requirements are necessary to run this program? (Choose two.)
- A. Database links must be defined.
- B. The same ledgers must be defined in both instances.
- C. Enable the FSG: AutoCopy profile option in the production environment.
- D. The same row and column sets must exist in the production environment.
Answer: AB
NEW QUESTION 23
Select two components that are required to create the accounting setup by using Accounting Setup Manager. (Choose two.)
- A. ledgers
- B. operating units
- C. data access sets
- D. definition access sets
- E. subledger accounting method
Answer: AE
NEW QUESTION 24
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