Oracle 1D0-1057-23-D Oracle Project Management Cloud 2023 Implementation Professional - Delta QUESTION & ANSWERS https://www.genuinedumps.com/1D0-1057-23-D-exam-questions.html QUESTION 1 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 he not able to see the transactions for the China business unit? (Choose the best answer.) A. The application role relevant to the China business unit is not assigned to the project accountant. B. The project accountant is not assigned to the external role that grants access to the China business unit. C. The US and UK business units are linked to different ledgers than the China business unit. D. The China business unit is associated with a different legal entity than the US and UK business units. Correct Answer: A,D QUESTION 2 Your customer wants to generate accounting based on project information associated with the transaction for all subledger transactions. Identify three subledger applications for which the project source is available for deriving accounts when configuring subledger accounting. (Choose three.) A. B. C. D. Receipt Accounting Payables Fixed Asset Purchasing Correct Answer: A,B,D Explanation/Reference: Ref: https://docs.oracle.com/en/cloud/saas/project-portfolio-management/19b/oapfm/project-costingconfiguration-define-project-costing-integrations.html#OAPFM3094605 Topic - Deriving Projects-Related Accounts https://www.genuinedumps.com/1D0-1057-23-D-exam-questions.html QUESTION 3 Your customer complains that their project resources do not report their time promptly, which has resulted in incorrect reporting of project performance. What should you do to fix this problem? (Choose the best answer.) A. B. C. D. Enable track missing time at project unit. Enable track missing time at project type. Enable track missing time at project template. Enable track missing time at business unit. Correct Answer: A QUESTION 4 Which three are valid password complexity criteria while setting up password policies? (Choose three.) A. B. C. D. E. Complex: At least 8 characters, 1 uppercase, and 1 number Very Complex: At least 8 characters, 1 uppercase, 1 number, and 2 special characters Very Complex: At least 6 characters, 1 uppercase, 1 number, and 1 special character Very Complex: At least 8 characters, 1 uppercase, 1 number, and 1 special character Simple: At least 8 characters and 1 number Correct Answer: A,B,D QUESTION 5 Your customer wants additional project information for detailed account balance maintenance, reconciliation, and reporting. Identify the configuration in subledger accounting that can be set up to fulfill this requirement. (Choose the best answer.) A. B. C. D. E. Accounting Method Journal Rules Supporting References Accounting Rule Mapping Sets https://www.genuinedumps.com/1D0-1057-23-D-exam-questions.html Correct Answer: C Explanation/Reference: Explanation Reference https://docs.oracle.com/cloud/latest/projectcs_gs/OAPFM/OAPFM1125357.htm#OAPFM1125357 Assignment of Supporting References Supporting references may be used to capture transaction values on journal entry lines. A supporting reference can be used on a journal entry rule set only if it's assigned a source from the event class of the journal entry rule set. Creating Supporting References: Explained Supporting references are used to store additional source information about a subledger journal entry at the line level. Supporting references with balances establish subledger balances for a particular source and account for a particular combination of supporting references plus the account combination. For example: If a journal line contains a supporting reference that includes two sources, Customer Type and Customer Name. Balances are created for the account combination, plus customer name and customer type. Examples of how you may want to use supporting reference balances are to: Facilitate reconciliation back to the subledgers and source systems by tagging journal entries with transaction and reference attributes. Create balances by dimensions not captured in the chart of accounts. Reporting using dimensions not captured in the chart of accounts. Enrich Oracle Fusion Business Intelligence Applications reporting on subledger journals. Profit and loss balances by dimensions not captured in the chart of accounts Define supporting references to hold additional supporting information for detailed account balance maintenance or reconciliation and reporting requirements. QUESTION 6 Your client organization has recently undergone a restructuring exercise that has resulted in the creation of new jobs. The Resource Breakdown Structure (RBS) was previously created with existing jobs, and now the new jobs have been added to the existing Resource Breakdown Structure. Identify the correct statement about the RBS and new resources. (Choose the best answer.) A. If the “Allow resource changes at project level” option is set to No, the new resources and resource formats that are added to a Planning Resource Breakdown Structure for one project are not available for other projects. B. If the “Allow resource changes at project level” option is set to No for the RBS, then the resources added to the Planning Resource Breakdown Structure are automatically available for use on the projects. C. If the “Allow resource changes at project level” option is set to Yes for the RBS, the new resources https://www.genuinedumps.com/1D0-1057-23-D-exam-questions.html are available automatically at project level. D. If the “Allow resource changes at project level” option is enabled for the RBS, the new resources added at project level are automatically reflected in the RBS. Correct Answer: B Explanation/Reference: Ref: https://docs.oracle.com/en/cloud/saas/project-portfolio-management/19a/fapfm/implementingproject-financial-management-applications.html#FAPFM969761 Topic - Entering Planning Resource Breakdown Structure Details Click Navigator > Setup and Maintenance, and search for the Manage Planning and Billing Resource Breakdown Structures task. Click the Manage Planning and Billing Resource Breakdown Structures link. Use the Manage Planning and Billing Resource Breakdown Structures page to create new planning resource breakdown structures and to review existing planning and billing resource breakdown structures. Click the Create icon in the Planning Resource Breakdown Structures section. Use the Create Planning Resource Breakdown Structure: Basic Information page to provide basic resource breakdown structure information including the name, active dates, and project unit. Enter a planning resource breakdown structure name and select a date from which the resource breakdown structure is available for use. Optionally, provide a description and a date to which the planning resource breakdown structure is available for use. Select a project unit. Only projects created for the selected project unit can use this planning resource breakdown structure. If you want to allow project managers to add planning resources at the project level, then select the Allow resource changes at project level check box. Tip: Changes at the project level don't move back to the parent planning resource breakdown structure. Deselect this option to ensure all project using the planning resource breakdown structure use the same resources. Optionally, select a Job Set as a source of jobs for creating planning resources on your planning resource breakdown structure. Click Save. QUESTION 7 Your client is involved in automation control systems installation. Over the years, they have analyzed their total project spend on specific resource classes. They have identified that their cost spread distribution factor on a 10 spread point scale resembles: 0-4-10-11-14-13-10-4-0-0. Identify two ways to handle this kind of a spread on their budgets and forecasts. ( https://www.genuinedumps.com/1D0-1057-23-D-exam-questions.html Choose two) A. Create a new spread curve or edit an existing spread curve to exactly match the spread points and attach to a project template. B. Create a new spread curve or edit an existing spread curve to exactly match the spread points and attach to the resource class. C. Use the predefined Bell Curve spread with small deviations on the spread points. D. Use the predefined S-Curve spread with small deviations on the spread points. Correct Answer: B,C QUESTION 8 Which application generates external roles to grant both function and data security? (Choose the best answer .) A. B. C. D. Authorization Policy Manager Oracle Identity Manager Business Process Manager Functional Setup Manager Correct Answer: B Explanation/Reference: Authorization Policy Manager (APM) APM greatly simplifies the creation, configuration, and administration of application policies APM does not support the management of users and external roles; these artifacts can only be viewed with the tool. Their provision and management is typically accomplished using Oracle Identity Manager Oracle Identity Manager (OIM) In regard to enterprise users and external roles, Authorization Policy Manager provides viewing and searching functionality only. To manage users and external roles, use Oracle Identity Manager or some other identity management tool. OIM provision users, roles, and defines what a user can do in Oracle Cloud Duty Roles are mapped to jobs and assigned access privileges (Data Security) QUESTION 9 Which three file-based data imports are available for use in Oracle Project Portfolio Management Cloud? https://www.genuinedumps.com/1D0-1057-23-D-exam-questions.html A. B. C. D. Project Budgets Project Tasks Project Billing Events Project Templates Correct Answer: A,B,C Explanation/Reference: Explanation Ref: https://docs.oracle.com/en/cloud/saas/project-portfoliomanagement/19a/oefpp/toc.htm QUESTION 10 Which three file-based data imports are available for use in Oracle Project Management Cloud? (Choose three.) A. B. C. D. E. Project Tasks Project Budgets Project Billing Events Project Templates Capital Rate Schedule Correct Answer: A,B,C QUESTION 11 Which two attributes are available while enabling a task as a business object for social networking? A. B. C. D. E. Task Project Number Task Number Creation Date Project Correct Answer: B,C QUESTION 12 You are implementing Project Portfolio Management for a global professional services organization. In https://www.genuinedumps.com/1D0-1057-23-D-exam-questions.html their Consulting Services line of business, it is common to use resources from different business units based on the skills required. Therefore, cross-charge transactions happen between business units within the same legal entity. Transfer price calculations need to be based on raw costs, with no further adjustments to transfer price. Identify two setups that can drive this borrowed and lent agreement. (Choose two.) A. Transfer price basis must be Raw Cost and calculation method must be Basis Only. B. Transfer price basis must be Burdened Cost, and calculation method must be Burden Rate Schedule. C. A document entry such as straight time must be enabled for cross-charge transactions. D. Transfer price basis must be Raw Cost and calculation method must be Rate Schedule. Correct Answer: A,C Explanation/Reference: Ref: https://docs.oracle.com/en/cloud/saas/project-portfolio-management/19b/oapfm/project-billingconfiguration-define-transfer-pricing.html#OAPFM3094619 QUESTION 13 Your organization has a requirement to send notifications to the owners of the associated tasks when the status of a deliverable is set to Complete. You have been asked to evaluate generate public events for project deliverable status changes feature to manage this requirement. Which two statements are true about this feature? (Choose two.) A. B. C. D. The public event is not generated when the priority of a deliverable changes The public event is not generated when a deliverable is created or deleted. The public event is generated when a deliverable is created or deleted. The public event is generated when the progress status for a deliverable changes. Correct Answer: A,D https://www.genuinedumps.com/1D0-1057-23-D-exam-questions.html