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  • Exam Name: Oracle Financials Business Process Foundations Associate Rel 2
  • Last Update: May 16, 2024
  • Questions and Answers: 47
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1z0-1107-2 Practice Exam Questions with Answers Oracle Financials Business Process Foundations Associate Rel 2 Certification

Question # 6

Sharon is working as a collections manager and he is interested in performing an analysis based on the difference between the date of settlement and the due date of payment of invoice. Which key performance indicator will help him to review this information? (Choose the best Answer.)

A.

Promise to Pay

B.

Average Days Delinquent

C.

Percent Current

D.

Collector Effective Index

E.

Days Sales Outstanding

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Question # 7

Your organization has a requirement to ensure that the expense reports are reviewed on a regular basis to comply with its reimbursement policies. Which job role would you recommend for a person who is authorized to review and identify the compliance issues with the submitted expense reports? (Choose the best Answer.)

A.

Procurement Agent

B.

Expense Manager

C.

Accounts Payables Specialist

D.

Expense Auditor

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Question # 8

Your organization has decided to use the Balance Forward Billing feature to consolidate multiple invoices into a single bill and you have been asked to configure this feature. What is the recommended order of steps that needs to be followed to complete your configuration? (Choose the best Answer.)

A.

Define BFB Payment Terms > Attach BFB Payment Terms to Customer > Enable BFB in the Customer Profile > Define BFB Billing Cycle

B.

Define BFB Payment Terms > Define BFB Billing Cycle > Enable BFB in the Customer Profile > Attach BFB Payment Terms to Customer

C.

Enable BFB in the Customer Profile > Define BFB Payment Terms > Define BFB Billing Cycle > Attach BFB Payment Terms to Customer

D.

Define BFB Billing Cycle > Define BFB Payment Terms > Enable BFB in the Customer Profile > Attach BFB Payment Terms to Customer

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Question # 9

Which process involves the comparison of planned versus actual figures by designing re-ports with the help of state-of-the-art reporting tools? (Choose the best Answer.)

A.

Accounting Transformation

B.

Invoice to Cash

C.

Procure to Pay

D.

Budget to Report

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Question # 10

Glenn Systems owns a luxury car and they want to restrict the amount of depreciation that should be charged to this asset in a particular period. Which two types of depreciation ceiling can they use to achieve this? (Choose two.)

A.

Depreciation Rate Ceiling

B.

Depreciation Cost Ceiling

C.

Depreciation Expense Ceiling

D.

Depreciation Period Ceiling

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Question # 11

Easy Solutions INC has decided to set up a meals expense policy and you have been given the responsibility to define the policy. Identify the correct sequence of steps that should be per-formed to define the meals expense policy? (Choose the best Answer.)

A.

Completing the Meals Rate Spreadsheet > Setting up Policy Violations > Setting up a Meals Policy > Associating the Meals Expense Policy with an Expendim Type

B.

Setting up a Meals Policy > Setting up Policy Violations > Completing the Meals Rate Spreadsheet > Associating the Meals Expense Policy with an Expense Type

C.

Associating the Meals Expense Policy with an Expense Type > Setting up Policy Violations > Setting up a Meals Policy > Associating the Meals Expense Policy with an Expense Type

D.

Setting up Policy Violations > Setting up a Meals Policy > Completing the Meals Rate Spreadsheet > Associating the Meals Expense Policy with an Expense Type

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Question # 12

Your organization has recently made changes to one of the accounting rules to comply with the new accounting requirement. In which mode will you generate the accounting to verify that the changes made to the rule are producing the desired accounting entries before generating the final accounting? (Choose the best Answer.)

A.

Provisional

B.

Temporary

C.

Draft

D.

Interim

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Question # 13

Your organization has decided to use the automatic reconciliation feature to reconcile bank statement lines with system transactions. Which three components will be useful for the auto-matic reconciliation of bank statements with system transactions? (Choose three.)

A.

Transaction Grouping Rules

B.

Tolerance Rules

C.

Matching Rules

D.

Parse Rule Set

E.

Transfer Rules

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Question # 14

Invoice Number S10231234 for USD 1000 was raised for the customer "Business World" on 1st January 2022 with a payment term of 30 days. This invoice became due on 31st January 2022, but the customer has not yet made the payment due to an unresolved dispute. Which subprocess in the Invoice to Cash life cycle flow helps you to manage and resolve disputes for such type of delinquent invoices? (Choose the best Answer.)

A.

Customer Invoice to Receipt

B.

Customer Contract to Revenue

C.

Customer Statement to Collection

D.

Bank Transaction to Position

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