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Understanding functional and technical aspects of Oracle Planning 2020 Implementation Essentials 1z0-516 AutoScheduling
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- Explain summary accounts and how they are used in General Ledger
- Summary Accounts
- Describe key issues and considerations when implementing Advanced Journal Entry
- Perform key steps in the close process
- Define How Parent Values/ Rollup Groups are used in General Ledger
- Describe the Journal Scheduling process
- Explain the accounting cycle
- Describe the business benefits of using Oracle General Ledger's Advanced Journal Entry functions
- Explain the Period Closing Process and Reports
- Explain AutoScheduling
- Period Close
- Plan and maintain Summary Account structures
- Perform Subledger Reconciliation
- Perform journal import of subledger balances
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Understanding functional and technical aspects of Oracle Planning 2020 Implementation Essentials 1z0-516 Accounting Setups
The following will be discussed here:
- Use the features and functionality of Global Consolidation System (GCS)
- Describe the important elements for creating a Chart of Accounts structure
- Create eliminating entries
- Use the elements of the Consolidation Workbench
- Describe Ledger Balancing Segment Value Assignments
- Perform the Secondary Ledger Setup steps
- Explain overview of Consolidations and their positioning within the Oracle General Ledger business flow
- Complete Accounting Setup
- Accounting Setups
- Describe the various Subledger Accounting Options
- Use Standard reports and inquiry options available for consolidations Ledger
- Describe the elements required to create a ledger within Oracle General Ledger
- Perform the Primary Ledger Setup steps
- Create Accounting Setups
- Consolidations
- Utilize the Account Hierarchy Manager to view and maintain Accounting Flexfield values
- Describe the basic components of Accounting Setup
- Identify the key implementation issues regarding consolidations
- Creating a new Accounting Flexfield structure
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Oracle 1Z0-516 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Topic 1: Journal Processing | - Journal Entry Management
|
| Topic 2: Period Close Process | - Month-End Closing
|
| Topic 3: General Ledger Setup | - Ledger Configuration
|
| Topic 4: Account Management | - Account Reconciliation
|
| Topic 5: Financial Reporting | - Reporting Tools
|




