Pass the Oracle Oracle Other Certification 1z0-532 Questions and answers with CertsForce

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Questions # 1:

Identify the three true statements about the Financial Management architecture. (Choose three.)

Options:

A.

Hyperion Financial Management uses a multitier architecture that includes a client tier, application tier, and a data tier.


B.

The client tier (user interface) communicates with the data tier.


C.

The client tier (user interface) communicates with the application tier.


D.

The application tier contains the application as well as the report and Web servers.


E.

The data tier contains the Essbase database for all Hyperion Financial Management application data and source data.


Expert Solution
Questions # 2:

What four actions can an administrator perform from the FM Administration menu? (Choose four.)

Options:

A.

Manage documents.


B.

View system messages.


C.

Run Data and Task Audits.


D.

Manage Task Flows.


E.

Manage Security.


Expert Solution
Questions # 3:

Financial Management provides enabling technologies to complete which three close processes? (Choose three.)

Options:

A.

Load data from one or more ledger systems and calculate data.


B.

Perform adjustments, translations, intercompany activities, and consolidations.


C.

Create the annual detail budget.


D.

Publish run reports


E.

Perform profitability and cost analysis with prebuild allocation templates.


Expert Solution
Questions # 4:

How does the FM administrator manage the Intercompany Partner dimension?

Options:

A.

By selecting and deselecting the IsICP field on the entity member properties


B.

By selecting and deselecting the IsICP field on the account member properties


C.

It cannot be maintained by the administrator. FM automatically creates the ICP dimension to match all members in the Entity dimension.


D.

It cannot be maintained by the administrator. FM automatically creates the ICP dimension to match all members in the Account dimension.


E.

Using the Dimension editor in the same way as a custom dimension or Entity dimension


Expert Solution
Questions # 5:

What account may be specified if IsICP is enabled for intercompany account properties?

Options:

A.

The Plug account


B.

The Expenses account


C.

The ICP account


D.

The Validation account


Expert Solution
Questions # 6:

Identify three true statements about variables in VBScripts rules. (Choose three.)

Options:

A.

A variable is a temporary storage object for a value to be used in the rule.


B.

A variable may be only of the string data type.


C.

Functions may be applied to variables.


D.

A variable must be defined before it can be used in the script.


E.

A variable may be used across subroutines.


Expert Solution
Questions # 7:

Identify the two true statements about defining member lists in Financial Management. (Choose two.)

Options:

A.

Financial Management will scan the member list Visual Basic file and verify that the member is a valid member.


B.

Only when you access the grid with the member list will an error appear with the line number of the invalid member selection.


C.

A member list must define all member lists for all dimensions.


D.

Member lists can be created in EPMA.


Expert Solution
Questions # 8:

Identify three valid application settings. (Choose three.)

Options:

A.

MaxNumDocAttachments


B.

UseSecurityForEntities


C.

UseSecurityForValue


D.

Va1idationAccount


E.

SupportSubmissionPhaseforEntity


Expert Solution
Questions # 9:

The Value dimension stores detail from child to parent for which dimension?

Options:

A.

View


B.

Entity


C.

Account


D.

Currency


E.

Scenario


Expert Solution
Questions # 10:

In a scenario with the zero view set to year-to-date, if January is $30 year to date and March is $90 year to date, what value does FM calculate for February year to date if no data is loaded?

Options:

A.

0


B.

30


C.

45


D.

60


E.

-30


Expert Solution
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