Oracle 1z1-333 Exam Details & Actual Exam Questions

  • Exam Code/Number: 1z1-333
  • Exam Name/Title: Oracle Financials Cloud: General Ledger 2016 Implementation Essentials
  • Certification Provider: Oracle
  • Corresponding Certification: OPN Certified Specialist
  • Exam Questions: 80
  • Updated On: Jul,13 2026
  • Certification Level: Specialist

Oracle Financials Cloud: General Ledger 2016 Implementation Essentials Exam Questions

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Oracle 1z1-333 Exam Overview:

Certification Vendor:Oracle
Exam Name:Oracle Financials Cloud: General Ledger 2016 Implementation Essentials
Exam Number:1Z0-333
Exam Format:Multiple Choice, Scenario-Based
Passing Score:60%
Exam Price:$245 USD
Real Exam Qty:75-80
Exam Duration:120 minutes
Related Certifications:Oracle Financials Cloud Implementation Specialist
Certificate Validity Period:18-24 months
Available Languages:English
Sample Questions:Oracle 1z1-333 Sample Questions
Exam Way:Online proctored or onsite at Pearson VUE test centers
Pre Condition:No mandatory prerequisites; recommended hands-on experience with Oracle Financials Cloud
Official Syllabus URL:https://education.oracle.com/oracle-financials-cloud-general-ledger-2016-implementation-essentials/pexam_1Z0-333

Oracle 1z1-333 Exam Syllabus Topics:

SectionWeightObjectives
Implementation and Setup Overview15%- Chart of Accounts Design
  • 1. Configure segment security rules
    • 2. Set up accounting hierarchies
      • 3. Define segments and values
        - Functional Setup Manager
        • 1. Create implementation project
          • 2. Manage setup tasks and lists
            Journal Processing15%- Set up journal approval workflows
            - Create, import, and post journals
            - Define allocations and recurring entries
            Period Close and Consolidation15%- Manage period close process
            - Execute consolidations and reconciliations
            - Perform revaluation and translation
            Reporting, Budgetary Control and Encumbrance15%- Use Financial Reporting Studio, OTBI and Smart View
            - Set up encumbrance accounting
            - Configure budgetary control
            Subledger Accounting10%- Describe Fusion Accounting Hub
            - Configure accounting rules
            - Integrate with source systems
            Intercompany Accounting10%- Design intercompany segment rules
            - Set up intercompany system options
            - Process and reconcile intercompany transactions
            Ledger Configuration20%- Define primary and secondary ledgers
            - Configure currencies and conversion rules
            - Set up accounting calendar and periods


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