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Oracle 1Z0-1054-25 Exam Syllabus

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Before starting your 1Z0-1054-25 exam preparation, it is recommended to review the complete Oracle Fusion Cloud Financials: General Ledger 2025 Implementation Professional exam syllabus and carefully go through the exam objectives listed below. Once you understand the exam structure and objectives, you should practice using our free 1Z0-1054-25 questions. We also provide premium 1Z0-1054-25 practice test, fully updated according to the latest exam objectives, to help you accurately assess your preparedness for the actual exam.

Oracle
Vendor
1Z0-1054-25
Exam Code
123
Total Questions
12
Total Exam Domains

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1Z0-1054-25 EXAM QUESTIONS

Oracle 1Z0-1054-25 Exam Objectives

Section 1: Explain the key features and capabilities of Enterprise and Financial Reporting Structures
Weight:
-
  • Define the fundamental structure of an enterprise
  • Explain the functionalities of Legal Entity, Legal Jurisdiction, and Geographies
  • Explain the Chart of Accounts design
Section 2: Configure Financial Reporting Structures
Weight:
-
  • Set up Chart of Accounts structures and instances
  • Set up Chart of Accounts Security
  • Set up Account Hierarchies
  • Set up Accounting Calendar and Currencies
Section 3: implementing Ledgers
Weight:
-
  • Configure Ledgers
  • Define Ledgers
  • Define General Ledger Security
  • Leverage General Ledgers Balances Cubes
 
Section 4: Implementing and Managing Journals
Weight:
-
  • Explain the process of creating journals from different sources
Section 5: Explain the key features and functionalities of Intercompany
Weight:
-
It involves how to describe the Intercompany functionality.
Section 6: Configure Intercompany transactions
Weight:
-
  • Set up Intercompany Balancing rules
  • Configure additional Intercompany Balancing and Clearing options
  • Implement other Intercompany setups
 
Section 7: Process Intercompany transactions and reconciliations
Weight:
-
  • Manage Intercompany transactions
  • Manage Intercompany reconciliations
 
Section 8: Describe the Period Close process
Weight:
-
  • Explain Period Close
  • Describe Reconciliations
  • Explain Revaluation and Translation
  • Describe consolidation options in GL
Section 9: Configure Period Close
Weight:
-
  • Set up the Period Close Monitor
  • Manage options for reconciliations
  • Manage Revaluation and Translation
  • Set up Allocations
  • Manage Chart of Account Mappings for Consolidation
Section 10: Explain the various financial reporting options
Weight:
-
  • Explain the Financial Reporting Center and Reporting tools
  • Describe the role of Financial Reporting Web Studio
  • Explain OTBI reporting
  • Describe the usage of Smart View reports
  • Describe the General Accounting Dashboard components
Section 11: Create Financial Reports and Analyses
Weight:
-
  • Define Account Groups
  • Create Financial Reporting Web Studio reports
  • Create OTBI Analyses
  • Create Smart View reports
  • Set up user-defined infolets
  • Leverage General Accounting infolets
Section 12: Using AI/ML/Mobile and Other Automation Features
Weight:
-
Identify the business value and capabilities available in AI/ML/Mobile and other automation features
Info