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Oracle 1z0-1060-25 Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Implementation Best Practices and Maintenance10%- Maintenance and troubleshooting
  • 1. Monitor accounting processes
  • 2. Apply updates and patches
  • 3. Diagnose and resolve common issues
- Implementation methodology
  • 1. Deployment and go-live steps
  • 2. Plan and analyze requirements
  • 3. Configure and test phases
Topic 2: Accounting Hub Overview and Architecture15%- Accounting Hub architecture and core components
  • 1. Data flow and transformation logic
  • 2. Integration framework overview
- Common Fusion Cloud Application capabilities
  • 1. Security Console features
  • 2. Functional Setup Manager components
  • 3. Users and role-based access control
Topic 3: Subledger Accounting Configuration30%- Event model and accounting events
  • 1. Event classes and types
  • 2. Event accounting definitions
- Accounting transformations and mappings
  • 1. Source and target value mappings
  • 2. Conversion formulas and conditions
- Accounting methods and rules setup
  • 1. Journal line definitions
  • 2. Account derivation rules
  • 3. Description and line entry rules
Topic 4: Accounting and Reporting20%- Accounting generation and posting
  • 1. Create accounting process
  • 2. Review and finalize accounting entries
- Financial reporting structures
  • 1. Financial reporting hierarchies
  • 2. Ledger and chart of accounts setup
- Reporting tools and outputs
  • 1. Design custom financial reports
  • 2. Use OTBI and Financial Reporting Studio
Topic 5: Source System Integration and Data Management25%- Source system registration and configuration
  • 1. Define source system parameters
  • 2. Register external source systems
- Data mapping and transformation
  • 1. Source to accounting attribute mapping
  • 2. Data enrichment and derivation
- Data upload and validation
  • 1. Error handling and correction
  • 2. Data import and validation processes
  • 3. Transaction data file formats

Oracle Accounting Hub Cloud 2025Implementation Professional Sample Questions:

You are designing an income statement report with the help of Financial Reporting 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?

  • A. [3;5][3;5][3;5]
  • B. [3,5][3,5][3,5]
  • C. [3:5][3:5][3:5]
  • D. 3:5{3:5}3:5
Answer: C

You are tasked with identifying the reason for a user from your client organization not being able to submit the job that imports the transaction data for accounting and posting in General Ledger.
You realize that a duty role needs to be associated with a job role for authorizing the access to import the accounting transactions process.
Which duty role would you suggest?

  • A. Accounting Hub Import Duty Role
  • B. Accounting Hub Create and Post Journal Entry Duty Role
  • C. Accounting Hub Integration Duty Role
  • D. Accounting Hub Create Accounting Duty Role
Answer: C

Your client decides to:
* Configure a primary ledger for local statutory reporting requirements and a secondary ledger to manage alternative accounting requirements.
* Use Financial Reporting Studio to manage the financial reports that leverage the cube connections.
They are seeking your advice to understand the cubes that the system creates to store the balances for these two ledgers.
Based on which unique combination of ledger components are the cube connections generated?

  • A. Calendar and Currency
  • B. Chart of Account and Currency
  • C. Chart of Accounts and Calendar
  • D. Convention and Currency
  • E. Chart of Account and Convention
Answer: C

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?

  • A. ([3,5])
  • B. ([3;5])
  • C. ({3:5})
  • D. ([3:5])
Answer: D

To create journal entries, the Create Accounting process takes source data used in accounting rules from tables or views.
What are the tables or views called?

  • A. Event entities
  • B. Transaction objects
  • C. Mapping sets
  • D. Source objects
Answer: B

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