Oracle Fusion Financials: General Ledger 2014 Essentials Sample Questions:
1. Your user forgot the password. How do you resolve this?
A) Use Access Policy Manager (APM) to reset the user's password.
B) Use Oracle Identity Management (OIM) to reset the user's password.
C) Create a new user ID and password for the user.
D) Use the Manage Users page to update the user's information and change the password.
E) Log in to the user's machine as an Administrator and change the password from the login pa
2. Which reporting tool is best suited for submitting high-volume transactional reports, such as invoice Registers or Trial Balance reports, that can be configured to extract the data in Rich Text Format or XML?
A) Smart View
B) Intelligence Publisher (BI Publish.
C) Oracle Business Intelligence Applications (OBIA)
D) Financial Reporting Center
E) Oracle Transactional Business Intelligence (OTBI)
3. Identify three differences between Oracle Transactional Business Intelligence (OTBI) and Oracle Business Intelligence Applications (OBIA).
A) Cloud customers can use both OTBI and OBIA.
B) Both OBIA and OTBI provide a set of predefined reports and dashboards and a library of metrics that help to measure business performance
C) OBIA is based on the universal data warehouse design with different prebuilt adapters that canconnect to various source application
D) OBIA works for multiple sources including E-Business Suite, PeopleSoft, JD Edwards, SAP, andFusion Applications.
E) OTBI allows you to create custom reports from real-time transactional data against thedatabase directly
4. You need to define multiple allocation rules as efficiently as possible.
Which three components can be reused across allocation rules?
A) Point of View (POV)
B) Formulas
C) Run Time Prompts (RTP)
D) RuleSets
5. Which repot show you differences between your subledger balances and General Ledger balances?
A) Payables and Receivables Aging Reports with the General Ledger Trial Balance report
B) General Ledger Financial Statements and the Accounts Payable and Accounts Receivables Invoice Registers
C) Payables Trial Balance, Receivables Trial Balance, and General Ledger Trial Balance reports
D) Payables to Ledger Reconciliation Report and the Receivables to Ledger Reconciliation Report
Solutions:
| Question # 1 Answer: B | Question # 2 Answer: E | Question # 3 Answer: B,D,E | Question # 4 Answer: B,C,D | Question # 5 Answer: D |
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By Merry

