1.
Identify two INVALID features of POV in Financial Reporting Studio.
2.
Choose the two options that need to be enabled for Journal Approval.
3.
Choose the Oracle application that will automatically update the chart of accounts values and Hierarchies across multiple Oracle E-Business Suite and Oracle Fusion instances through a single application.
4.
Identify the step that is NOT correct about implementing Fusion Accounting Hub to integrate with an external system.
5.
The tables, of views, from which Create Accounting takes source data to use in rules and create entries are referred to as_________.
6.
Transaction objects in Fusion Accounting Hub are associated to_____________.
7.
Which three ledgers can be viewed from the Close Status work region of the General Accounting Dashboard?
8.
What is the best view or tool to use it you need to quickly perform an ad hoc ledger query that drill down to in a web view?
9.
Identify two valid points to be considered when configuring the workspace database connection.
10.
When reconciling transactions, accounted amounts in a reconciliation report may be different due to differences in the currency conversion rates used. To mitigate the differences in the account balances you should ____________.