Exam Details

  • Exam Code
    :1Z0-960
  • Exam Name
    :Oracle Financials Cloud: General Ledger 2017 Implementation Essentials
  • Certification
    :Oracle Certifications
  • Vendor
    :Oracle
  • Total Questions
    :134 Q&As
  • Last Updated
    :Mar 29, 2025

Oracle Oracle Certifications 1Z0-960 Questions & Answers

  • Question 11:

    You are required to enter a high volume of users into the system. What does Oracle consider best practice to do this?

    A. Use SQL to populate the HR interface tables and load employees in bulk.

    B. Use the spreadsheet templates available in Oracle Enterprise Repository (OER) and then import users into Fusion Applications.

    C. Use the "Hire an Employee" user interfaceto inter each user manually.

    D. Use the spreadsheet available in Oracle Identity Manager (OIM) to import users.

    E. Use the "Enter a Supplier" user interface to enter each user manually.

  • Question 12:

    You need to build a complex account rule. Which four value types can you use in your definition?

    A. Value Set

    B. Constant

    C. Existing Account Rule

    D. Account Combination

    E. Mapping Set

    F. Source

  • Question 13:

    Your enterprise structure has one ledger and two business units. Business unit one wants to enable budgetary control for Requisitioning only in Procure-to-Pay Business Functions and business unit two wants to enable budgetary control for Payable Invoicing only in Procure-to-Pay Business Functions.

    Which two statements are correct?

    A. While defining control for business unit two, enable control at Requisitioning and define the exceptions to only include invoicing.

    B. Define control for business unit two to disable control for Requisitioning, Purchasing, and Receiving.

    C. Define budgetary control at ledger level with Budgetary Control Exceptions for each business unit.

    D. While defining control for business unit one, disable control lor Purchasing, Payable Invoicing, and Receiving.

    E. While defining control for business unit one, enable control at purchasing and define the exceptions to only include requisitioning.

    F. Define budgetary control at ledger level and only encumbrance controls at the business units.

  • Question 14:

    You want to define a tree or hierarchy for use in reports and allocations. What three aspects should you remember when creating the tree?

    A. You need to flatten the rows to be able to use drilldown in Smart View and you must publishtree to view the hierarchy in Essbase cubes.

    B. You must flatten the columns and publish the tree to view the hierarchy in Essbase cubes.

    C. The tree should have at least two tree versions to reduce report and allocation maintenance.

    D. You only need to flatten the columns if you plan to use the hierarchy in Oracle Transactional Business Intelligence (OTBI).

    E. It is fine to have the same child value roll up to two or more different parent values.

  • Question 15:

    Your customer has only licensed Fusion Financials and wants to use approval workflows. Using which page to enter users and assign roles does Oracle consider best practice?

    A. Manage Users

    B. Hire a New Ernployee

    C. Oracle Identity Management (OIM)

    D. Policy Manager (APM)

    E. Financials not a stand-alone product

  • Question 16:

    On which three occasions are Essbase balances updated?

    A. Every time the tree version is published

    B. Every time journals are posted to the general ledger

    C. Every time you run the batch program called "Update Essbase Balances"

    D. At report run-time

    E. Every time you open a new period

  • Question 17:

    Your customer has many eliminating entries to eliminate intercompany balances. The General Ledge does not include a purpose-built Consolidation feature.

    How would you automate the process of creating eliminating entries, assuming your customer is not using Oracle Hyperion Financial Close Management?

    A. Use the spreadsheet template that is accessed from the "Create Journal in Spreadsheet" task and import the spreadsheet with the eliminating entries every period.

    B. Use the General Ledger's Calculation Manager to define an allocation definition to eliminate entries that you can generate every period.

    C. There is no way to automate this process if the customer is not using Oracle Hyperion Financial Close Management.

    D. Create a manual journal that includes the eliminating entries, and then create a copy of the Journal batch every period.

  • Question 18:

    Which two types of journals can be automatically routed through the journal approval process?

    A. Allocation journals

    B. Revaluation journals

    C. Manual journals

    D. Sub ledger journals

    E. Journals imported from third-party systems

  • Question 19:

    You need to distribute departmental expense reports to l00 department managers in your organization. The report format is the same, but the department values differ.

    What in the most efficient way to achieve this?

    A. Set the Department segment as a User Point of View (POV) and submit a report batch and schedule it: to run for every department. Send the different batch outputs as PDF attachments via email to different users.

    B. Create a single report for all departments. When department managers log in to Financial Reporting Center, they will only be able to view their department's data based on Segment Value Security Rules.

    C. Set up Bursting Options for your batch to prepare multiple versions of a report from a single process.

    D. When defining the report, make the Department Segment a prompt and when users view the report, they can change the prompt to their department.

  • Question 20:

    Your customer is expanding its operations. You defined a new ledger and several business units. However, you are unable to assign the newly generated data roles to existing Accounts Payables and Accounts Receivables users in the shared service center.

    What should you do to correct the problem?

    A. Open the Oracle Identity Management (OIM) and make sure the data roles were created.

    B. Open the Manage Users page and make sure the employees at

    C. Open Access Policy Manager (APM) and assign the roles manually

    D. Make sure you run the Retrieve Latest LDAP Changes program to regenerate the data roles.

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