Oracle 1Z1-1054 certification exam is an essential credential for professionals who wish to demonstrate their proficiency in Oracle Financials Cloud: General Ledger implementation. 1z1-1054-JPN exam is designed to assess the candidate's knowledge and skills in configuring and implementing the general ledger module in the Oracle Financials Cloud environment.
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To prepare for the Oracle 1Z1-1054 Exam, candidates should have a strong understanding of financial management concepts and be familiar with Oracle Financials Cloud: General Ledger 2019. Oracle offers a range of training courses and resources to help candidates prepare for the exam. These resources include online training courses, study guides, and practice exams.
Reference: https://education.oracle.com/oracle-financials-cloud-general-ledger-2019-implementation-essentials/pexam_1Z0-1054
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Oracle 1Z1-1054 Exam is a certification exam that tests the knowledge of professionals who are involved in the implementation of Oracle Financials Cloud General Ledger. 1z1-1054-JPN exam is designed to evaluate the skills and abilities of candidates in different areas of financial management, such as ledger setup, financial reporting, and performance management. Candidates who pass the exam demonstrate a deep understanding of the various features and functionalities of Oracle Financials Cloud General Ledger.
Oracle 1Z1-1054 exam is designed for professionals who work in accounting or finance related roles. 1z1-1054-JPN exam is ideal for individuals who have experience working with general ledgers and financial accounting systems, and who want to validate their knowledge and expertise. 1z1-1054-JPN exam covers several topics including general ledger setup, financial reports, defining accounting rules, and financial periods. It is an ideal exam for individuals looking to enhance their career opportunities in the field of financial management.
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Oracle 1z0-1054日本語 Exam Syllabus Topics:
| Section | Objectives |
| Topic 1: Subledger Accounting | - Accounting Event Processing
- Accounting Methods and Rules
- Create Accounting Process
|
| Topic 2: Configure Ledgers | - Manage Data Access Sets
- Define Ledgers and Ledger Sets
- Configure Primary, Secondary and Reporting Ledgers
- Configure Journal and Ledger Options
|
| Topic 3: Period Close | - Close Monitor
- Period-End Processing
- Manage Accounting Periods
|
| Topic 4: Intercompany Processing | - Intercompany Configuration
- Intercompany Balancing Rules
- Intercompany Transactions and Reconciliation
|
| Topic 5: Journal Processing | - Spreadsheet Integration
- Journal Approval and Posting
- Create and Manage Journals
- Recurring and Allocation Journals
|
| Topic 6: Budgetary Control and Encumbrance | - Budget Management
- Budgetary Control Configuration
- Funds Check and Reservations
- Encumbrance Accounting
|
| Topic 7: Reporting and Dashboards | - Smart View
- Financial Reporting Studio
- Infolets and Dashboards
- OTBI Reporting
|
| Topic 8: Configure Enterprise and Financial Reporting Structures | - Manage Chart of Accounts
- Manage Account Hierarchies
- Manage Accounting Calendars
- Manage Geographies
- Manage Legal Jurisdictions, Legal Authorities and Legal Entities
|