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Oracle Exam 1Z0-1054-24 Topic 2 Question 6 Discussion

Actual exam question for Oracle's 1Z0-1054-24 exam
Question #: 6
Topic #: 2
[All 1Z0-1054-24 Questions]

You can run predefined reports to reconcile subledger application balances to General Ledger balances. Which attribute must you set up on the Manage Values page for chart of accounts segment values so that you can run the Payables to General Ledger Reconciliation report or Receivables to General Ledger Reconciliation report?'

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Suggested Answer: D

Contribute your Thoughts:

Sommer
2 days ago
D) Financial Category seems like the right choice to me. That's the attribute that would help identify the relevant accounts for reconciliation.
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Denna
9 days ago
I believe it's actually E) Third Party Control Account, as that is often used for reconciliation purposes.
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Olga
12 days ago
I think the answer is C) Reconcile. It makes the most sense for reconciling subledger balances to the GL.
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Elenora
21 hours ago
B) Start Date
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Audrie
3 days ago
A) End Date
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Renay
23 days ago
I'm not sure, but I think it might be D) Financial Category.
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Dylan
1 months ago
I agree with Nathan, setting up the Reconcile attribute is important for running those reports.
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Nathan
1 months ago
I think the answer is C) Reconcile.
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