최신Oracle JD Edwards EnterpriseOne Financial Management 9.2 Implementation Essentials - 1z1-342무료샘플문제
Your client used the Mass Asset Disposal program to dispose of several assets belonging to the same company. They used the simple disposal method but the business unit for the net book value account contained in the journal entry was different for almost every asset they disposed.
Which statement explains why this occurred?
You are going through the month end close process. When you are posting, you receive a PACO message?
What condition would cause this message?
What must happen prior to making a payment to a supplier?
Your client decided to upload budgets to the system using a spreadsheet and reviewed the upload by using the Upload/Conversion Revisions program and confirmed that the upload was successful. Upon reviewing the F0902 table for budget data, the client does not find any data for the accounts uploaded.
What caused the problem?
As part of month-end closure, you run Accounts Payable Integrity reports to validate the accuracy of your data.
Which integrity report compares the Gross Amount and the Open Amount in the Accounts Payable Ledger (F0411) to the Paid Amount in the Accounts Payable Matching Document Detail (F0414)?
You ran the application A/R Statistical History Update program (R03B16A). Which table does the system use to display information on the Account Statistical Summary Form?
What two ways can a user access the submitted jobs?
Where should you specify the currency code for delinquency fees?
Which of the following statements is TRUE about the fast path?