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Oracle 1z0-1060-25 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Implementation Planning and Setup | 20% | - Define implementation scope and requirements - Define and manage mapping sets - Set up accounting periods and calendars - Configure ledgers, legal entities, and chart of accounts |
| Data Migration and Integration | 20% | - Import and reconcile historical data - Configure external data load formats - Integrate with source systems using REST APIs - Use spreadsheet-based loader for data migration |
| Oracle Accounting Hub Cloud Overview | 10% | - Describe Accounting Hub Cloud key features and capabilities - Identify the benefits of implementing Accounting Hub Cloud - Explain the architecture and components of Accounting Hub Cloud |
| Subledger Accounting Configuration | 25% | - Configure journal line types and descriptions - Define mapping sets and journal line assignments - Create and manage account hierarchies - Set up account combinations and rules |
| Reporting and Analysis | 15% | - Create custom reports using Oracle Analytics Cloud - Set up account monitoring and alerts - Generate standard financial reports |
| Post-Implementation and Maintenance | 10% | - Manage user access and security roles - Perform period-end close procedures - Apply updates and manage configuration changes - Troubleshoot common implementation issues |
Oracle Accounting Hub Cloud 2025Implementation Professional Sample Questions:
Question 1
Which statement is true about journal entry rule sets?
A. Description rules can be assigned only at the header level of a journal entry rule set
B. Description rules must carry the same chart of accounts that is attached to the journal entry rule set
C. Description rules can be assigned at both the header and the line level of a journal entry rule set
D. Description rules can be assigned only at the header level of a journal entry rule set
Question 2
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?
A. Source systems
B. Event classes
C. Journal sources
D. Event types
Question 3
You are trying to explain to an accountant that account override is an adjustment feature of Subledger Accounting.
Which TWO traits can help you further explain this feature?
A. It provides an audit trail by preserving the original subledger journal entry
B. It allows users to record a reason for the adjustment
C. It adjusts the original source transaction
D. It is intended to correct only the subledger journals that have been posted
Question 4
You are assigned to troubleshoot a Create Accounting error.
Which is the first step that you need to perform to use the Diagnostics Framework feature?
A. Submit the Accounting Event Diagnostic process.
B. Run the Accounting Event Diagnostic report.
C. Run Create Accounting again to generate journal entries for the events that ended in error.
D. Set the 'SLA: Enable Diagnostic' profile option.
Question 5
Which predefined role allows a user to manage the period close activities in the General Ledger (GL) application?
A. Chief Financial Officer (CFO)
B. General Accounting Manager
C. General Accountant
D. Financial Analyst
Solutions:
| Question 1 Answer: C | Question 2 Answer: D | Question 3 Answer: A,B | Question 4 Answer: D | Question 5 Answer: B |


