Oracle 1Z0-1060-21 Certification Exam Syllabus

1Z0-1060-21 Syllabus, 1Z0-1060-21 Latest Dumps PDF, Oracle Accounting Hub Cloud Implementation Essentials Dumps, 1Z0-1060-21 Free Download PDF Dumps, Accounting Hub Cloud Implementation Essentials DumpsYou can use this Oracle 1Z0-1060-21 exam study guide to collect all the information about the Oracle Accounting Hub Cloud 2021 Implementation Essentials exam. The Oracle 1Z0-1060-21 certification exam is mainly targeted to those candidates who have some experience or exposure to Oracle Financials Cloud technology and want to flourish their career with Oracle Accounting Hub Cloud 2021 Certified Implementation Specialist (OCS) credential.

The Oracle 1Z0-1060-21 certification exam validates your understanding of the Oracle Financials Cloud technology and sets the stage for your future progression. Your preparation plan for Oracle Accounting Hub Cloud 2021 Implementation Essentials Certification exam should include hands-on practice or on-the-job experience performing the tasks described in following certification exam syllabus topics.

Oracle 1Z0-1060-21 Exam Details:

Exam Name Oracle Accounting Hub Cloud 2021 Implementation Essentials
Exam Code 1Z0-1060-21
Exam Price USD $245 (Pricing may vary by country or by localized currency)
Duration 90 minutes
Number of Questions 55
Passing Score 64%
Format Multiple Choice Questions (MCQ)
Recommended Training Oracle Accounting Hub Cloud 2021 Certified Implementation Specialist
Oracle Financials Cloud Learning Subscription
Schedule Exam Pearson VUE
Sample Questions Oracle Accounting Hub Cloud 2021 Certified Implementation Specialist (OCS)
Recommended Practice 1Z0-1060-21 Online Practice Exam

Oracle 1Z0-1060-21 Syllabus Topics:

Transaction type life cycle - Analyze and identify transaction life cycle
Accounting, reporting, audit, and reconciliation requirements - Analyze accounting, reporting, audit, and reconciliation requirements for accounting transactions: journal entries, accounts
- Analyze accounting, reporting, audit, and reconciliation requirements for reporting transactions: journal and line descriptions, reporting attributes
- Analyze accounting, reporting, audit, and reconciliation requirements for reconciliation transactions: reconciliation reference attribute
Modeling considerations - Analyze other modeling considerations: transaction type, consolidated vs separated subledger view, pass through, rule-based, primary ledger only, primary plus secondary ledger, legal entities
Analyze Accounting Rule Configuration - Analyze the accounting rule configuration: Journal entries, accounting method, chart of accounts, accounts derivation, intercompany
Register Source System and PaaS (ICS) integration - Manage Transaction Information and Line Information Worksheets and Transaction Objects
- Manage PaaS(ICS) Integration
Update Registered Source System - Update Registered Source System: accounting attribute assignments, sources, event types
Configure Accounting Rules - Manage Accounting Methods
- Manage Journal Entry Rule Sets
- Manage Journal Line Rules
- Manage Account Rules
- Manage Mapping Sets
- Manage Description Rules
- Manage Supporting References
- Manage User Defined Formula
- Manage Additional Components including Intercompany Journal Lines, Gain and Loss Journal Lines, Multiperiod Journal Entries, Accrual Reversals and Sequences
Transaction data and automation with web service - Upload transaction data, correct when there are errors, and perform automation with web service
Reporting and Period Close - Manage Reporting with OTBI
- Manage Reporting with Financial Reporting Web Studio
- Manage Reporting with BI Publisher
- Manage Reporting with Smart View
- Manage Account Groups
Adjust Journal Entries - Adjust journal entries: override, create manual adjustment entries
Diagnostics - Perform Subledger Accounting Diagnostics
Functional Setup Manager - Explain Functional Setup Manager Offerings, Functional Area and Features, Manage Setup Data, and Export and Import Setup Data
Security - Explain Users and Role Based Access Control
- Describe the Security Console

The Oracle Accounting Hub Cloud Implementation Essentials Certification Program certifies candidates on skills and knowledge related to Oracle Financials Cloud products and technologies. The Oracle 1Z0-1060-21 is granted based on a combination of passing exams, training, and performance-based assignments, depending on the level of certification. Oracle Accounting Hub Cloud 2021 Implementation Essentials certification is a real benchmark of experience and expertise that helps you stand out in a crowd among employers. To ensure success, Oracle recommends combining education courses, practice exams, and hands-on experience to prepare for your Oracle Accounting Hub Cloud 2021 Certified Implementation Specialist (OCS) certification exam as questions will test your ability to apply the knowledge you have gained in hands-on practice or professional experience.

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