Black Friday Special 70% Discount Offer - Ends in 0d 00h 00m 00s - Coupon code: save70

Oracle 1z0-1087-23 Exam With Confidence Using Practice Dumps

Exam Code:
1z0-1087-23
Exam Name:
Oracle Account Reconciliation 2023 Implementation Essentials
Certification:
Vendor:
Questions:
79
Last Updated:
Nov 24, 2024
Exam Status:
Stable
Oracle 1z0-1087-23

1z0-1087-23: Account Reconciliation Exam 2024 Study Guide Pdf and Test Engine

Are you worried about passing the Oracle 1z0-1087-23 (Oracle Account Reconciliation 2023 Implementation Essentials) exam? Download the most recent Oracle 1z0-1087-23 braindumps with answers that are 100% real. After downloading the Oracle 1z0-1087-23 exam dumps training , you can receive 99 days of free updates, making this website one of the best options to save additional money. In order to help you prepare for the Oracle 1z0-1087-23 exam questions and verified answers by IT certified experts, CertsTopics has put together a complete collection of dumps questions and answers. To help you prepare and pass the Oracle 1z0-1087-23 exam on your first attempt, we have compiled actual exam questions and their answers. 

Our (Oracle Account Reconciliation 2023 Implementation Essentials) Study Materials are designed to meet the needs of thousands of candidates globally. A free sample of the CompTIA 1z0-1087-23 test is available at CertsTopics. Before purchasing it, you can also see the Oracle 1z0-1087-23 practice exam demo.

Oracle Account Reconciliation 2023 Implementation Essentials Questions and Answers

Question 1

Which two are tasks that can be performed using EPM Automate? (Choose two.)

Options:

A.

set period status

B.

import premapped data

C.

export balances

D.

export journals

Buy Now
Question 2

Which two are properties of the organizational unit? (Choose two.)

Options:

A.

work days

B.

calendar

C.

language

D.

tax jurisdiction

Question 3

In the Balance Explanations tab of the Prepaid Expenses reconciliation, you want to include the transactions and attachments from the prior period in the current period.

Which action should you perform?

Options:

A.

In the Balance Explanations tab of the current period reconciliation, select ‘Copy Transactions from Prior Reconciliation’.

B.

In the profile for Prepaid Expenses reconciliations, select ‘Include Prior Period Transactions’.

C.

In the Reconciliations list, copy the reconciliation from the prior period and paste it into the current period.

D.

Export the transactions from the prior period reconciliation and then import them to the current period reconciliation.