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Oracle 1Z0-1060-24 Exam Questions

Exam Name: Oracle Accounting Hub Cloud 2024 Implementation Professional
Exam Code: 1Z0-1060-24
Related Certification(s):
  • Oracle Cloud Certifications
  • Oracle Enterprise Business Processes (SaaS - ERP) SaaS - ERP Certifications
Certification Provider: Oracle
Actual Exam Duration: 90 Minutes
Number of 1Z0-1060-24 practice questions in our database: 80 (updated: Apr. 02, 2025)
Expected 1Z0-1060-24 Exam Topics, as suggested by Oracle :
  • Topic 1: Analyzing Transaction Type Lifecycle: This section measures the skills of Financial Analysts and focuses on analyzing and identifying the transaction lifecycle within source systems. It covers the stages from transaction initiation to completion, ensuring all aspects of the lifecycle are understood. A key skill measured is effectively mapping the transaction lifecycle.
  • Topic 2: Accessing Accounting, Reporting, Audit, and Reconciliation Requirements: This section targets Accounting Professionals and analyzes the requirements for accounting, reporting, auditing, and reconciliation related to transaction types. It emphasizes understanding compliance and accuracy in financial reporting. A critical skill assessed is evaluating audit and reconciliation needs thoroughly.
  • Topic 3: Analyzing and Creating Financial Reporting Structures and Ledgers: This section measures the skills of Financial Controllers in analyzing configuration requirements for legal entities, financial reporting structures, and ledgers. It includes understanding how to set up these structures to meet organizational needs. A key skill measured is designing effective financial reporting frameworks.
  • Topic 4: Registering Source System and PaaS (ICS) Integration: This section focuses on Integration Specialists and covers managing transaction information, line information worksheets, and integrating source systems with PaaS (ICS). It emphasizes the importance of seamless data integration for accurate financial reporting. A significant skill assessed is managing integration processes effectively.
  • Topic 5: Updating Registered Source System: This section measures the skills of Systems Administrators in updating accounting attribute assignments, sources, and event types within registered source systems. It includes ensuring that all updates align with organizational standards. A key skill measured is maintaining accurate system configurations.
  • Topic 6: Configuring Accounting Rules: This section targets Accounting Managers and focuses on managing various accounting rules such as intercompany journal lines, multiperiod journal entries, and accrual reversals. It emphasizes the importance of accurate rule configuration for financial accuracy. A critical skill assessed is configuring accounting rules effectively.
  • Topic 7: Automating Transaction Data with Web Service: This section measures the skills of Data Analysts in automating transaction data loading from spreadsheets or other sources while managing exceptions. It covers techniques for improving data entry efficiency.
  • Topic 8: Adjusting Journal Entries: This section measures the skills of Accountants in creating sub-ledger journals that include overrides and adjustments as necessary. It covers techniques for ensuring journal entries reflect true financial positions. A key skill measured is accurately adjusting journal entries to maintain integrity.
  • Topic 9: Describing Functional Setup Manager: This section targets Functional Analysts and explains the components of Functional Setup Manager used in configuring applications. It emphasizes understanding how to manage setups effectively within an organization. A critical skill assessed is explaining setup processes clearly.
  • Topic 10: Describing Security: This section measures the skills of Security Administrators in explaining users and role-based access control within financial systems. It covers the security console's functionality to manage user permissions effectively. A key skill measured is implementing robust security measures for system access control.
Disscuss Oracle 1Z0-1060-24 Topics, Questions or Ask Anything Related

Xochitl

11 days ago
Security and access control were key topics. Be prepared to answer questions about role-based access control and how to set up data security for different user roles within Oracle Accounting Hub Cloud.
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Blair

12 days ago
Nailed the Oracle Accounting Hub exam! Pass4Success's questions were a lifesaver for quick studying.
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Virgina

26 days ago
Pass4Success really helped me prepare quickly. Pay attention to subledger accounting concepts - the exam tests your ability to configure accounting methods and journal line types.
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Carma

1 months ago
Glad I studied chart of accounts structures thoroughly. Expect questions on how to design and implement a flexible chart of accounts that supports multi-entity reporting and consolidation.
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Mira

1 months ago
Oracle certification in the bag! Pass4Success made prep a breeze with their relevant materials.
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Adell

2 months ago
The exam covered a lot on data loading processes. Make sure you understand the various methods for importing financial data into Oracle Accounting Hub Cloud, including File-Based Data Import (FBDI) and web services.
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Louis

2 months ago
Just passed the Oracle Accounting Hub Cloud 2024 Implementation Professional exam! Thanks to Pass4Success for the spot-on practice questions. Be ready for questions on setting up accounting rules - know how to configure and apply them to different transaction types.
upvoted 0 times
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Benedict

2 months ago
Just passed the Oracle Accounting Hub Cloud 2024 exam! Thanks Pass4Success for the spot-on practice questions.
upvoted 0 times
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Free Oracle 1Z0-1060-24 Exam Actual Questions

Note: Premium Questions for 1Z0-1060-24 were last updated On Apr. 02, 2025 (see below)

Question #1

You design an income statement report with the help of Financial Reporting Web Studio. You add row numbers 3, 4, and 5 to reflect the balances for three different expense accounts and row number 6 to reflect the sum of row numbers 3, 4, and 5.

Which formula should be used on row number 6 to calculate the sum?

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Correct Answer: D

Question #2

A banking organization is currently using different transaction systems for various types of loans, including vehicle loans, personal loans, education loans, and housing loans. You have been appointed as a consultant to implement Accounting Hub Cloud.

Which THREE points should you remember while registering the source system for the organization?

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Correct Answer: C, D, E

Question #3

Your company is part of the financial services industry and manages various types of transactions, such as Notional Amount on Trade Positions, Premium Amount, Premium Settlement, and Premium Sweep, in their source system. While analyzing the source transaction system, you are asked to propose an event model based on the activities performed by the company.

Based on your analysis, what should the Notional Amount on Trade Positions, Premium Amount, Premium Settlement, and Premium Sweep transactions be defined as while registering the source system?

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Correct Answer: A

Question #4

You recently created an analysis to review the periodic revenue amounts using Smart View. Your customer wants to use the drill-through option to get more details about the balances appearing in the analysis.

Which TWO drill-through options would meet the requirement?

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Correct Answer: B, D

Question #5

In Functional Setup Manager, if setup data is segmented by a specific context, you can perform the setup task iteratively, such as assigning different ledger options to different primary ledgers.

Which action should you take to specify the context?

Reveal Solution Hide Solution
Correct Answer: D


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