Oracle 1z0-1057-22 Exam Practice Questions (P. 3)
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Question #11
Your customer wants to calculate Estimate to Complete (ETC) as the difference between Current Planned Cost and Actual Cost. In Progress Settings, which option would you use in conjunction with the ETC method to meet this requirement?
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Question #12
Your administrator creates maintenance conditions on the Maintain Project Enterprise Labor Resources page. An HCM person is included in a condition with a process order value of 1 and, additionally, there are three other conditions, all with a process order value of 10.
Which two statements are correct about the Maintain Project Enterprise Labor Resources process as it relates to process order values? (Choose two.)
Which two statements are correct about the Maintain Project Enterprise Labor Resources process as it relates to process order values? (Choose two.)
- AFor the three conditions that have the same process order value of 10, the records are processed in ascending numeric order based on the condition name.
- BThe process creates a resource by using the condition with a process order value of 1, but does not create more than one resource for the same person even if subsequent conditions apply to the person.Most Voted
- CThe process creates a resource by using the conditions with a process order value of 10, but does not create more than one resource for the same person even if subsequent conditions apply to the person.
- DFor the three conditions that have the same process order value of 10, the records are processed in ascending alphabetic order based on the condition name.Most Voted
Correct Answer:
BC
BC
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Question #13
Your customer has the following setups on the project plan type that they are using for their projects:
Use Task Planned Dates as Task Assignment Dates = Yes
Automatically Roll Up Task Planned Dates = Yes
Synchronize Task Transaction Dates with Planned Dates = No
With these setups in place, you perform the following actions:
1. Create a new subtask (Sub Task 1) with a start date of 15-Jun-2016 on the project that has as start date of 01-Jul-2016.
2. Create another new subtask (Sub Task 2) after the previous action is saved.
What would the correct behavior of the application be after these actions?
Use Task Planned Dates as Task Assignment Dates = Yes
Automatically Roll Up Task Planned Dates = Yes
Synchronize Task Transaction Dates with Planned Dates = No
With these setups in place, you perform the following actions:
1. Create a new subtask (Sub Task 1) with a start date of 15-Jun-2016 on the project that has as start date of 01-Jul-2016.
2. Create another new subtask (Sub Task 2) after the previous action is saved.
What would the correct behavior of the application be after these actions?
- AAfter the creation of Sub Task 1, Project Start Date would remain unchanged as 01-Jul-2016 and Sub Task 2 would be created with 15-Jun-2016.
- BAfter the creation and saving of Sub Task 1, Task Start Date would be changed to 01-Jul-2016 and Sub Task 2 would be created with 01-Jul-2016.
- CProject Start Date would remain unchanged as 01-Jul-2016 for both actions but the start dates on both subtasks would remain 15-Jun-2016.
- DAfter the creation of Sub Task 1, Project Start Date would be changed to 15-Jun-2016 and Sub Task 2 would be created with 15-Jun-2016.Most Voted
Correct Answer:
A
A
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Question #14
Which step within the functional setup manager helps you to move your verified setup data from the test environment to a production environment?
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Question #15
Your client has implemented Oracle Cloud Applications with their United States business unit and United Kingdom business unit. After six months, they acquired another company in China and added a China business unit. A project accountant in your organization is authorized to access transactions for the US, UK, and China business units. The project accountant can see the transactions for the US and UK business units but not for the China business unit.
Why is the project accountant unable to see the transactions for the China business unit?
Why is the project accountant unable to see the transactions for the China business unit?
- AThe China business unit is associated with a different legal entity than the US and UK business units.
- BThe US and UK business units are linked to different ledgers than the China business unit.
- CData Access for the China business unit has not been assigned to the user against the relevant job role.
- DThe job role relevant to the China business unit is not assigned to the project accountant.
Correct Answer:
D
D
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