1Z0-228 | 10 Tips For Up to date 1Z0-228 braindumps


Q31. Your tree for translating budget keys contains only nodes and no leaves in the hierarchy. This is an example of a_____. 

A. Spring tree 

B. Winter tree 

C. tree branch 

D. Summer tree 

E. Summary tree 

Answer:

Q32. Identify two statements that describe Standard Ledger Groups. 

A. Standard Ledger Groups allow one primary ledger. 

B. Standard Ledger Groups do not allow secondary ledgers. 

C. Standard Ledger Groups allow one primary translation ledger. 

D. Standard Ledger Groups allow zero to nine secondary ledgers. 

E. Revenue Ledgers capture the revenue detail in Standard Ledger Groups 

Answer: A,C 

Q33. Which two processes CANNOT be performed in batch mode? 

A. Edit Journal 

B. Post Journal 

C. Print Journal 

D. Copy Journal 

E. Delete Journal 

F. Submit Journal 

Answer: B,E 

Q34. View the Exhibit. 

Company ABC has Combination Edit Rules as shown in the Exhibit. Account 200000 is a Balance Sheet account and Account 614000 is an Income Statement account. 

Which ChartField combination is valid based on the Rules shown in the Exhibit? 

A. Account 200000, DeptID 1000 

B. Account 614000, DeptID 1000 

C. Account 200000, DeptID blank 

D. Account 614000, DeptID blank 

Answer:

Q35. What feature is supported in combination Edits? 

A. Multiple anchor values in a combination definition 

B. Use of winter and spring trees in combination rules 

C. Multiple combination definitions in a combination group 

D. COMBO_DATA_TBL built as a part of the journal Edit process 

Answer:

Q36. Identify the best description for the Journal Edit Hierarchy. 

A. Journal overrides Ledger. 

B. Business Unit overrides Ledger. 

C. Business Unit overrides SourcE. 

D. Source overrides Business Unit. 

E. Journal Edit overrides based on User Preferences. 

Answer:

Q37. You have been assigned to create a department rollup tree for your organization. The following department information is available: 

Which two effective-dated trees will include all departments? 

A. tree dated 01/01/2011 

B. tree dated 12/31/2010 

C. tree dated 01/01/1900 

D. tree dated 01/31/2011 

Answer: B,C 

Q38. Identify two correct statements about the Combination Edit setup and process. 

A. Summary Ledgers can use Combo Edits. 

B. It does not matter whether you use ranges of values in trees or detail values when it comes to efficiency and how often you must rebuild the COMBO_DATA_TBL. 

C. Rules can invalidate a ChartField that has a blank ChartField valuE. 

D. The COMBO_DATA_TBL can be rebuilt faster than the Master Selector tables. 

E. The decisions on how to implement ChartField combination editing and the types of underlying tables to use greatly affect the efficiency, speed, and ease of maintenancE. 

Answer: A,C 

Q39. Which four occur during batch combination processing when using COMBO_DATA_TBL? 

A. The process loops through the combination groups and determines if the Master Selector tables are built for a group. If the tables are not built, it builds them dynamically according to the rules using the Application Engine temporary tables. 

B. If the anchor ChartField does not have a Combination Rule defined for it, the line is marked with the state that you selected-either Mark Invalid or Mark Valid on the ChartField Combination Editing Group page for the Anchor Values Not in Rules fielD. 

C. If the combination exists in the data table, it marks the line as valid or invalid depending on the Combination Group Defines option that you selecteD. 

D. It validates whether a Combination Edit Group is associated with a Business Unit and Ledger Group. 

E. H the anchor ChartField value has a Combination Rule defined for it but the entire combination is not found In the COMBO_DATA_TBL, the combination fails the edit. 

Answer: B,C,D,E 

Q40. The Accounts Payable Liability account 210000 is set as a Control Account. The current account balance is SO. 

Two Journal entries are made in the current perioD. 

Entry 1 Through Journal Generator 

What is the expected balance for Business Unit USOO1 in Local ledger for account 210000 after the Journal Post process is run? 

A. Entry 1 and Entry 2 are ValiD. The account balance is $-1200. 

B. Entry 1 and Entry 2 are Invalid for a Control Account. The account balance is $0. " 

C. Entry 1 is Invalid for a Control Account. Entry 2 is ValiD. The account balance is $-200. 

D. Entry l is ValiD. Entry 2 is Invalid for a Control Account. The account balance is $-1000. 

Answer: