Oracle 1z0-1087-22日本語 Exam Details & Actual Exam Questions

  • Exam Code/Number: 1z0-1087-22日本語
  • Exam Name/Title: Oracle Account Reconciliation 2022 Implementation Professional (1z0-1087-22日本語版)
  • Certification Provider: Oracle
  • Corresponding Certification: Account Reconciliation
  • Exam Questions: 80
  • Updated On: Aug,25 2026
  • Certification Level: Professional

Oracle Account Reconciliation 2022 Implementation Professional (1z0-1087-22日本語版) Exam Questions

View 1z0-1087-22日本語 actual exam questions, answers and explanations for free.

users 93% student found the test questions almost same

All the information you need to pass Oracle Account Reconciliation 2022 Implementation Professional (1z0-1087-22日本語版) 1z0-1087-22日本語 exam and free practice exam verified by EduDump exam experts.

Said the test questions were almost same
Passed the exams with the material
Found the study quides effective and helpful

Oracle 1z0-1087-22日本語 Exam Overview:

Certification Vendor:Oracle
Exam Name:Oracle Account Reconciliation 2022 Implementation Professional
Exam Number:1Z0-1087-22
Passing Score:68%
Available Languages:English
Exam Format:Multiple Choice
Related Certifications:Oracle Account Reconciliation 2022 Implementation Professional Certification
Exam Duration:90 minutes
Certificate Validity Period:Oracle certifications are generally valid for the product release cycle and may require recertification for newer versions
Real Exam Qty:60
Sample Questions:Oracle 1z0-1087-22日本語 Sample Questions
Exam Way:Online proctored exam or Pearson VUE test center
Pre Condition:No mandatory prerequisite exam. Oracle recommends hands-on experience in account reconciliation processes, Cloud implementation and system configuration.
Official Syllabus URL:https://mylearn.oracle.com/ou/exam/oracle-account-reconciliation-2022-implementation-professional-1z0-1087-22/51518/107090/162468

Oracle 1z0-1087-22日本語 Exam Syllabus Topics:

SectionObjectives
Data Loading and Integration- Data import and processing
  • 1. Load data using Data Management and integration tools
  • 2. Import journal entries and transaction data
Configuring Reconciliation Compliance- Setup compliance processes
  • 1. Configure reconciliation compliance and matching rules
  • 2. Create and manage profiles, formats, and rules
Organizational Setup- Setup configurations
  • 1. Set up organization units and calendars
  • 2. Define currency buckets and roles
Transaction Matching- Matching setup
  • 1. Perform transaction matching and analyze results
  • 2. Configure match types and attributes
Managing Reconciliations- Reconciliation operations
  • 1. Create, delete, review, approve, reject, and reopen reconciliations
  • 2. Manage period status and user roles
Solution Overview- Account Reconciliation Cloud Service fundamentals
  • 1. Describe reconciliation methods (e.g., balance comparison, variance analysis)
  • 2. Describe reconciliation compliance and transaction matching


0
0
0
10