Last Updated: Aug 22, 2026
No. of Questions: 84 Questions & Answers with Testing Engine
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| Section | Objectives |
|---|---|
| Topic 1: Troubleshooting and Maintenance | - Performance monitoring and optimization - Error handling and diagnostics |
| Topic 2: Reporting and Reconciliation | - Financial reporting outputs - Reconciliation processes and controls |
| Topic 3: Accounting Rules and Processing | - Accounting rules definition and maintenance - Event model and journal generation - Processing accounting entries |
| Topic 4: Data Integration and Transformation | - Mapping and transformation rules - Data ingestion methods and file-based loads |
| Topic 5: Configuration and Setup | - Subledger accounting setup - Initial setup and enterprise configuration - Ledger and accounting configuration |
| Topic 6: Oracle Accounting Hub Cloud Overview | - Key components and architecture - Purpose and business value of Accounting Hub Cloud |
1. Which two actions can you accomplish for a registered source system?
A) Modify the subledger application name as long as there are no pending accounting entries
B) Add new event classes through the user interface
C) Revise source Information through the user interface and add more sources
D) Import the source system registration spreadsheet template multiple times as long as there are no accounting rules created yet
2. Apart from a mapping set-based account rule, which is the other way to retrieve segment values for journal entries?
A) Define an account rule with conditions
B) Define a chart of accounts rule with conditions
C) Define a flexfield rule with conditions
D) Define a lookup type rule with conditions
3. Challenge 2: Manage Account Rule
TASK
Create Account Rule with 3 priorities
Name of Account Rule: Revenue Account
Subledger Application: AHC Billing
Process Category: AHC Billing
Event Class: AHC Billing
Event Type: Customer Billing, Customer Pay In, Customer Refund, Customer Settlement See the Explanation below for all the solution.
4. Your client has a requirement to report directly from the transactional tables and return the results in real- time, in turn eliminating the need for a data warehouse.
Which tool would you suggest to your client for this purpose?
A) Oracle Transactional Business Intelligence
B) Financial Reporting Studio
C) Smart View
D) Account Group
5. Your client has implemented the Oracle Cloud Accounting Hub solution and they are importing the transaction data from the source system on a daily basis. While importing the data from the source system, some transactions are not getting accounted properly. They want these invalid transactions purged and the corrected transactions imported again.
Which job would you submit to purge the invalid transactions?
A) Purge Accounting Hub Transactions Job
B) Import Accounting Transactions Job with Purge Invalid Transaction parameter set to 'Yes'
C) Accounting Hub Maintenance Job with Mode set to Purge Invalid or Unaccounted Transactions
D) Purge Invalid and Unaccounted Accounting Hub Transactions Job
Solutions:
| Question # 1 Answer: C,D | Question # 2 Answer: A | Question # 3 Answer: Only visible for members | Question # 4 Answer: A | Question # 5 Answer: C |
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