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最新的 Project Financials Management Cloud 1Z0-1057-21 免費考試真題:
1. Your organization performs revenue recognition based on the Labor and Non-labor Burden schedule types.
Identify the setup required to enable this kind of revenue recognition. (Choose the best answer.)
A) Create a revenue method with a revenue method classification of Amount Based.
B) Create a revenue method classification with a revenue method of Percent Spent.
C) Create a revenue method classification with a revenue method of Percent Complete.
D) Create arevenue method with a revenue method classification of Rate Based.
2. You are now the project manager of a newly created implementation project. Which two items arenotpart of managing an implementation project?
A) Monitor the progress of completing setup tasks.
B) Select the offering you want to implement.
C) Generate a list of setup tasks.
D) Enable optional functional areas and features by opting in.
E) Assign tasks to various users who are responsible for managing setup data.
3. Identify theattribute of a project typethatdetermines if expenditure items are billable, and theamount type to be used as the basisfor transfer pricing. (Choose the best answer.)
A) cost type
B) expenditure type
C) worktype
D) event type
4. You are implementing Project Portfolio Management (PPM) for a professional services firm. The firm rents multiple buildings for its operations. At the end of each month, they reviewthe rent expense for the month and want to allocate the rental cost to all the projects and tasks that are executed by associates in each of the buildings. The source amounts must be proportionally allocated to the tasks based on the raw costs of the tasks from the previous month. Considering that all these costs are in General Ledger, what three allocation setups should you complete in PPM? (Choose three.)
A) Allocate rental costs once each accounting period by using the "spread evenly" allocation method.
B) Allocate to all eligible tasks and prorate the allocation by thetotal actual raw costaccrued for each task during theprevious accounting period.
C) Allocate rental costs once each accounting period by using the"full" allocation method.
D) Define allocation basis by using Actual Amounts with a project-to-date amount class.
E) Define allocationbasis by using Actual Amounts with aperiod-to-date amount class.
5. You haveprojects and tasks defined with transaction controls, which does not allow certain types of charges to the project. Your business needs to create invoices in AP with this project every period and hence would like to make the process easier by creating a distribution set. As you create the distribution set, you notice that thesedistribution set lines are not validated against the project transaction controlsand you are allowed to save it without any validation errors. Identify the why the project transaction controls are not applied. ( Choose the best answer.)
A) There is no expenditure organization information available on the distribution set line.
B) The account code combination is not available on the distribution set line.
C) There is noexpenditure item dateinformation available on the distribution set line.
D) There is no expenditure type information available on the distribution set line.
問題與答案:
問題 #1 答案: D | 問題 #2 答案: C,E | 問題 #3 答案: C | 問題 #4 答案: B,C,E | 問題 #5 答案: C |
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我已经通過了 1Z0-1057-21 考试拿到了证书。現在的我有一份很好的工作,是因為有 Sfyc-Ru 網站的幫助,谢谢!