0 of 12 Questions completed
You have already completed the mock certification exam before. Hence you can not start it again.
Mock Certification Exam is loading…
You must sign in or sign up to start the mock certification exam.
You must first complete the following:
0 of 12 Questions answered correctly
Time has elapsed
You have reached 0 of 0 point(s), (0)
Earned Point(s): 0 of 0, (0)
0 Essay(s) Pending (Possible Point(s): 0)
You are defining an income statement report. You want to allow viewers of the report to be able to drill down from report balances to the underlying transactions. What so you need to enable?
In Financial Cloud, which three reporting tools can be used to access General Ledger balances? (Choose three.)
The Delete Translated Balances process provides the ability to completely reset translations in the event that significant changes are made to the accounting configuration.
Once the deletion process completes, what additional process must you run?
You are creating financial statements and want to have charts, such as a bar graph, automatically inserted to improve the understanding financial results. How would you achieve this?
Which subject area has been enhanced to allow you to drill down from OTBI General Ledger Reports to a General Ledger journal?
Your Financial Analyst needs to interactively analyze General Ledger balances with the ability to drill down to originating transactions. Which three features facilitate this? (Choose three.)
Which three reporting tools are based on real-time data or balances?
Identify three differences between Oracle Transactional Business Intelligence (OTBI) and Oracle Business Intelligence Applications (OBIA).
Your Financial Analyst needs to interactively analyze General Ledger balances with the ability down to originating transactions.
Which three features facilitate this?
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?
How do you hide accounts with no balances showing #Missing in Smart view?
Fusion Accounting Hub includes Hyperion Data Management. For which two tasks can Hyperion Data Management be used?