Oracle Account Reconciliation 2021 Implementation Essentials certification exam covers a range of topics related to account reconciliation, including account reconciliation configuration, data sources and profiles, period and balance comparison, transaction matching, and reporting. 1Z0-1087-21 exam also covers topics related to integration with other Oracle Cloud applications such as Financials, Procurement, and Project Portfolio Management. The Oracle 1Z0-1087-21 exam is intended for professionals who have experience with Oracle Cloud financials and are familiar with the concepts and principles of account reconciliation.
Oracle 1Z0-1087-21 certification exam is designed for professionals who want to validate their skills in implementing Oracle Account Reconciliation Cloud Service (ARCS) 2021. Oracle Account Reconciliation 2021 Implementation Essentials certification exam measures the candidate's knowledge and expertise in configuring, managing, and troubleshooting Oracle ARCS 2021. 1Z0-1087-21 exam covers a range of topics, including the fundamentals of account reconciliation, data sources and profiles, reconciliation rules, and reporting.
Oracle 1Z0-1087-21 certification exam is designed for professionals who specialize in account reconciliation. 1Z0-1087-21 exam is a requirement for individuals who want to earn the Oracle Account Reconciliation 2021 Implementation Essentials certification. 1Z0-1087-21 exam tests the knowledge and skills of candidates in various areas, including reconciliation architecture, reporting, security, and integration.
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Oracle 1Z0-1087-21 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Topic 1: Configuring Transaction Matching | - Currency rates and buckets - Formats and profiles for transaction matching - Matching rules and processes - Match types, data sources, and attributes |
| Topic 2: Solution Overview | - Reconciliation process and methods - User roles and access control - Reconciliation Compliance and Transaction Matching overview |
| Topic 3: Managing Reconciliations | - Individual, group, and summary reconciliations - Transfer reconciliations between users - Review, approve, reject, and reopen reconciliations - Data loading methods (EPM Automate, REST APIs) |
| Topic 4: Transaction Matching Operations | - Export adjustments to journal entries - Use cases for clearing and accrual reconciliations - Analyze and manage matches - Period-end balancing |
| Topic 5: Configuring Reconciliation Compliance | - Five balancing scenarios (Golden Rules) - Teams, calendars, and period management - Create and manage formats - Create and manage profiles |







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