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Oracle 1Z0-1057-21 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Configure Project Billing | |
| Configure Project Resource Management | |
| Common Project Configuration | |
| Configure Project Performance Reporting | |
| Navigation, User Experience, Personalization and Approvals | |
| Configure Project Management | |
| Configure Project Costing | |
| Functional Setup Manager | |
| Applications Security Overview | |
| Configure Project Foundation | |
| Project Management Overview | |
| Configure Project Control |
Oracle Project Management Cloud 2021 Implementation Essentials Sample Questions:
1. Whichthreefile-based data imports are available for use in Oracle Project Portfolio Management Cloud?
A) Project Templates
B) Project Budgets
C) Project Billing Events
D) Project Tasks
2. You configure one OTBI using Project Cross Subject Area AnalysisReal Time. You notice that all measures (Budget, Forecast, Cost, Commitments, Revenue, and Invoice) are not available for Bill-To-Customer and Contract and Contract Line dimensions. Identify the reason for this behavior. (Choose the best answer.)
A) TheBill-To-Customer dimension applies only to Invoice measures, but the Contract and Contract Line dimensions do not apply to Revenue and Invoice measures.
B) The Contract andContract Line dimensions apply only to Invoice measures.
C) The Bill-To-Customer dimension applies only to Revenue and Invoice measures.
D) The Bill-To-Customer dimension does not apply toInvoice measures, but the Contract and Contract Line dimensions apply only to Revenue and Invoice measures.
E) The Bill-To-Customer dimension applies to Invoice measures, and the Contract and Contract Line dimensions apply to Revenue and Invoice measures.
3. Whichfivesteps are required for the File-Based Data Import Integration option?
A) Install an Excel add-in.
B) Populate the spreadsheet with data and generate a CSV file.
C) Upload the file to the server.
D) Download an Excel template.
E) Import data into various applications.
F) Run Process to transfer data to interface tables.
4. You haveprojects and tasks defined with transaction controls, which does not allow certain types of charges to the project. Your business needs to create invoices in AP with this project every period and hence would like to make the process easier by creating a distribution set. As you create the distribution set, you notice that thesedistribution set lines are not validated against the project transaction controlsand you are allowed to save it without any validation errors. Identify the why the project transaction controls are not applied. ( Choose the best answer.)
A) The account code combination is not available on the distribution set line.
B) There is no expenditure type information available on the distribution set line.
C) There is noexpenditure item dateinformation available on the distribution set line.
D) There is no expenditure organization information available on the distribution set line.
5. Identify three correct statements about project types. (Choose three.)
A) Project type can beenabled for both billing and capitaliz
B) Project type can be usedas a source
C) Summarization options can be specified at project type.
D) Classifications can be assigned
E) Project type can be associated with multiple project units.
Solutions:
| Question # 1 Answer: B,C,D | Question # 2 Answer: E | Question # 3 Answer: A,B,C,D,F | Question # 4 Answer: C | Question # 5 Answer: A,B,D |





