Oracle 1z0-1054-JPN exam dumps : Oracle Financials Cloud: General Ledger 2019 Implementation Essentials (1z0-1054日本語版)

  • Exam Code: 1z0-1054-JPN
  • Exam Name: Oracle Financials Cloud: General Ledger 2019 Implementation Essentials (1z0-1054日本語版)
  • Updated: Oct 07, 2026     Q & A: 78 Questions and Answers

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Oracle 1Z1-1054 (Oracle Financials Cloud: General Ledger 2019 Implementation Essentials) Certification Exam is an industry-recognized certification test that validates the skills and knowledge of professionals regarding the implementation of Oracle Financials Cloud: General Ledger 2019. Oracle Financials Cloud: General Ledger 2019 Implementation Essentials (1z0-1054日本語版) certification exam is designed for individuals who have a good understanding of the Oracle Financials Cloud GL 2019, and are looking to enhance their expertise in the field.

Reference: https://education.oracle.com/oracle-financials-cloud-general-ledger-2019-implementation-essentials/pexam_1Z0-1054

Oracle 1Z1-1054 is an essential certification exam for professionals seeking to demonstrate their expertise in implementing the Oracle Financials Cloud General Ledger. 1z0-1054-JPN exam is designed to validate the candidate's understanding of the General Ledger and its related components, including sub-ledgers, journals, and financial reporting.

The Oracle 1z0-1054-JPN exam is intended for individuals who work with the Oracle Financials Cloud General Ledger, including consultants, project managers, and technical professionals. The 1Z1-1054 exam consists of 60 multiple-choice questions, and the candidate is given two hours to complete the test. 1z0-1054-JPN exam is available in English and other languages, and candidates can take it online or in-person at a testing center.

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Oracle 1z0-1054日本語 Exam Syllabus Topics:

SectionObjectives
Configure Enterprise and Financial Reporting Structures- Manage Geographies
- Manage Account Hierarchies
- Manage Accounting Calendars
- Manage Legal Jurisdictions, Legal Authorities and Legal Entities
- Manage Chart of Accounts
Budgetary Control and Encumbrance- Encumbrance Accounting
- Budget Management
- Funds Check and Reservations
- Budgetary Control Configuration
Period Close- Period-End Processing
- Manage Accounting Periods
- Close Monitor
Intercompany Processing- Intercompany Transactions and Reconciliation
- Intercompany Configuration
- Intercompany Balancing Rules
Configure Ledgers- Define Ledgers and Ledger Sets
- Configure Primary, Secondary and Reporting Ledgers
- Manage Data Access Sets
- Configure Journal and Ledger Options
Reporting and Dashboards- Infolets and Dashboards
- Financial Reporting Studio
- OTBI Reporting
- Smart View
Subledger Accounting- Create Accounting Process
- Accounting Methods and Rules
- Accounting Event Processing
Journal Processing- Journal Approval and Posting
- Spreadsheet Integration
- Recurring and Allocation Journals
- Create and Manage Journals

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