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Oracle 1z0-1060-25 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Oracle Accounting Hub Cloud Overview | - Key components and architecture - Purpose and business value of Accounting Hub Cloud |
| Accounting Rules and Processing | - Event model and journal generation - Accounting rules definition and maintenance - Processing accounting entries |
| Reporting and Reconciliation | - Reconciliation processes and controls - Financial reporting outputs |
| Configuration and Setup | - Initial setup and enterprise configuration - Ledger and accounting configuration - Subledger accounting setup |
| Data Integration and Transformation | - Mapping and transformation rules - Data ingestion methods and file-based loads |
| Troubleshooting and Maintenance | - Performance monitoring and optimization - Error handling and diagnostics |
Oracle Accounting Hub Cloud 2025Implementation Professional Sample Questions:
1. Your client has decided to implement Accounting Hub along with other Oracle-owned subledgers. They want to know about the predefined accounting methods that Oracle provides.
Which three are the predefined accounting methods?
A) Standard Accrual with Encumbrances
B) Standard Accrual for USA
C) Standard Accrual
D) Standard Accrual for Japan
E) Standard Accrual for China
2. Your customer wants to monitor the balances of their key General Ledger (GL) accounts on a regular basis and asks your advice on the best reporting option.
Which reporting tool would you suggest?
A) Financial Reporting Studio
B) Account Groups and Sunburst
C) Oracle Transactional Business Intelligence
D) Smart View
3. Your client has a requirement to report directly from transactional tables and return the results in real-time, thus eliminating the need for a data warehouse.
Which tool would you suggest to your client to achieve this?
A) Account Group
B) Financial Reporting Studio
C) Oracle Transactional Business Intelligence
D) Smart View
4. Which FOUR actions can you perform with the help of the Security Console?
A) Manage Data Access for Users
B) Manage User Name Generation Rules and Password Policies
C) Manage Password of other Users
D) Compare Roles
E) Create Roles
F) Manage Automatic Data Provisioning
5. Your company is part of the financial services industry and manages various types of transactions, such as Notional Amount on Trade Positions, Premium Amount, Premium Settlement, and Premium Sweep in their source system. While analyzing their source transaction system, you are asked to propose an event model, based on the activities performed by the company.
According to your analysis, what should the Notional Amount on Trade Positions, Premium Amount, Premium Settlement, and Premium Sweep transactions be defined as while registering the source system?
A) Journal sources
B) Event classes
C) Source systems
D) Event types
Solutions:
| Question # 1 Answer: A,C,D | Question # 2 Answer: B | Question # 3 Answer: C | Question # 4 Answer: B,C,D,E | Question # 5 Answer: D |






