Oracle 1z0-1054日本語 Exam Details & Actual Exam Questions

  • Exam Code/Number: 1z0-1054日本語
  • Exam Name/Title: Oracle Financials Cloud: General Ledger 2019 Implementation Essentials (1z0-1054日本語版)
  • Certification Provider: Oracle
  • Corresponding Certification: Oracle Financials Cloud
  • Exam Questions: 78
  • Updated On: Sep,11 2026
  • Certification Level: Professional

Oracle Financials Cloud: General Ledger 2019 Implementation Essentials (1z0-1054日本語版) Exam Questions

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Oracle 1z0-1054日本語 Exam Overview:

Certification Vendor:Oracle
Exam Name:Oracle Financials Cloud: General Ledger 2019 Implementation Essentials
Exam Number:1Z0-1054
Real Exam Qty:55
Exam Price:USD 245
Passing Score:60%
Certificate Validity Period:Oracle Cloud Certification credentials are generally valid for the corresponding product release cycle
Exam Format:Multiple Choice
Available Languages:English
Exam Duration:120 minutes
Related Certifications:Oracle Financials Cloud General Ledger Certified Implementation Specialist
Sample Questions:Oracle 1z0-1054日本語 Sample Questions
Exam Way:Pearson VUE test center or Oracle online proctored exam (availability may vary by region).
Pre Condition:Oracle recommends experience with Oracle Financials Cloud General Ledger implementation and completion of relevant Oracle University training; no mandatory prerequisite exam.
Official Syllabus URL:https://education.oracle.com/oracle-financials-cloud-general-ledger-2019-implementation-essentials/pexam_1Z0-1054-19

Oracle 1z0-1054日本語 Exam Syllabus Topics:

SectionObjectives
Configure Enterprise and Financial Reporting Structures- Manage Legal Jurisdictions, Legal Authorities and Legal Entities
- Manage Account Hierarchies
- Manage Accounting Calendars
- Manage Chart of Accounts
- Manage Geographies
Budgetary Control and Encumbrance- Encumbrance Accounting
- Funds Check and Reservations
- Budget Management
- Budgetary Control Configuration
Journal Processing- Create and Manage Journals
- Journal Approval and Posting
- Spreadsheet Integration
- Recurring and Allocation Journals
Period Close- Close Monitor
- Period-End Processing
- Manage Accounting Periods
Reporting and Dashboards- Financial Reporting Studio
- OTBI Reporting
- Smart View
- Infolets and Dashboards
Intercompany Processing- Intercompany Transactions and Reconciliation
- Intercompany Configuration
- Intercompany Balancing Rules
Configure Ledgers- Manage Data Access Sets
- Define Ledgers and Ledger Sets
- Configure Journal and Ledger Options
- Configure Primary, Secondary and Reporting Ledgers
Subledger Accounting- Accounting Event Processing
- Create Accounting Process
- Accounting Methods and Rules


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