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Oracle CX Sales 2024 Implementation Professional Sample Questions:
1. Which of the following steps is necessary when running an allocation in Oracle Profitability and Cost Management Cloud Service?
A) Create a calculation script to run the allocation
B) Set the allocation method and options in the Job Definition
C) Ensure that the destination cube is properly mapped to the source cube
D) Define allocation rules and methods in the Rules Library
2. Which of the following is a best practice for managing profitability in Oracle Profitability and Cost Management Cloud Service?
A) Analyzing financial data at the hourly level
B) Utilizing activity-based costing to allocate costs to products
C) Performing profitability analysis on a monthly basis
D) Using a single cost driver for all expenses
3. A date has been scheduled for your Sales Cloud environment upgrade. Which step must be performed in order to confirm the upgrade?
Response:
A) Sign in to My Services for the environment to be upgraded by specifying the data center on the Oracle Cloud Portal, and then clicking My Services.
B) Select the scheduled maintenance that you want to confirm from the list. Click Edit, and then read and accept the Terms and Conditions.
C) Select Schedule Maintenance from the Actions menu in the service listing on the Dashboard page.
D) Choose from an available upgrade date.
E) Select Schedule Maintenance from the Actions menu in the service listing on the Dashboard page, and then choose Release 12 Upgrade.
F) Enter your name and contact information. Click Submit Request.
4. Which feature of Oracle Profitability and Cost Management Cloud Service allows users to create custom reports based on specific requirements?
A) Calculation Manager
B) Data Management
C) Smart View
D) Report Designer
5. What is the purpose of using allocation rules in Oracle Profitability and Cost Management Cloud Service?
A) To define the calculation steps for dimension members in order to generate accurate costing and profitability information.
B) To distribute costs and revenues among different sections of an organization based on certain criteria.
C) To automate the creation of journals and accounting entries based on predefined criteria.
D) To provide user access control for the data input and reports in the application.
Solutions:
Question # 1 Answer: B | Question # 2 Answer: B | Question # 3 Answer: A | Question # 4 Answer: D | Question # 5 Answer: B |