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Page 1: 1z0-532 Oracle Hyperion Financial Management 11 …. Hyperion Financial Management uses a multitier architecture that includes a client tier, application tier, and a data tier. B

http://www.gratisexam.com/

TestKing.1z0-532,55.Q&A

Number: 1z0-532Passing Score: 800Time Limit: 120 minFile Version: 14.0

http://www.gratisexam.com/

1z0-532

Oracle Hyperion Financial Management 11 Essentials

Modified few questions, fixed few spelling mistakes and typos.

Thank so much for this guide, pass 790/800, three differet ones

I have solved " Stream read error " problem in VCE player .

This dumps is enough to pass the exam and I have to do.

All the questions are new one.there is no repetition of any question.

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Exam A

QUESTION 1Identify the three true statements about security classes.

A. Security classes are grouping mechanisms for assigning security access to sets of related members, documents, or other objects.B. Access levels for security classes include metadata, read, promote, and none.C. Security classes are assigned to FDM locations in addition to FM objects.D. Security classes cannot be created in EPMA by creating a Security Class dimension and associating it.E. Security classes are created in Classic FM under Load Tasks.

Correct Answer: ABCSection: (none)Explanation

Explanation/Reference:

QUESTION 2For a classic application, what are the two valid methods to extract metadata to a text file?

A. You can extract metadata using the EPMA file generator.B. Metadata can be extracted from within FM under extract tasks.C. Metadata can be extracted from within EPMA Dimension Library.D. Metadata can be extracted from the File > Export menu.E. Metadata can be extracted from an FDM application.

Correct Answer: ABSection: (none)Explanation

Explanation/Reference:

QUESTION 3What is the primary purpose of Extended Analytics in FM?

A. Exports Financial Management metadata and data to an Essbase database

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B. Exports Financial Management metadata and data to a relational databaseC. Exports Financial Management metadata and data to an Excel pivot tableD. Provides analytic capabilities directly against the Financial Management application

Correct Answer: ASection: (none)Explanation

Explanation/Reference:

QUESTION 4The Audit Intersection link in Data Grid menus takes the user to:

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A. The Data Audit listing for the cellB. The FDM location used to load the dataC. The database log for the data storage tableD. The Task Audit pageE. Line item details

Correct Answer: BSection: (none)Explanation

Explanation/Reference:

QUESTION 5How can an administrator get a list of security classes AND assigned users defined in the FM application?

A. Select Document > Reporting > Security > Security report.

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B. Select Tasks > Extract Tasks > Extract Security.C. Select Tasks > Extract Tasks > Extract Metadata.D. In the EPMA Dimension Library, under the Security Class dimension for the application, right-click the application and select Assign Access Control, then select

Security reports, and choose Classes by user.E. In Shared Services, right-click the application and select Assign Access control, then select Security reports, and choose Classes by user.

Correct Answer: BSection: (none)Explanation

Explanation/Reference:

QUESTION 6The organization by period feature is used for what two purposes?

A. Segregating rules by month and yearB. Controlling when entities consolidate into specific parentsC. Organizing the period dimension into multiple hierarchiesD. Managing the ownership percentage of one entity by othersE. Maintaining stored data values for changes in the Entity structure over time

Correct Answer: BESection: (none)Explanation

Explanation/Reference:

QUESTION 7If Sample Company 1230LAP has an intercompany balance with sample company PQR, when is the balance eliminated, assuming that consolidation rules have notbeen enabled in Application Settings?

A. All eliminations occur within the uppermost member on each of the entity dimension hierarchies.B. Eliminations occur in the [Elimination] value members of the children of the first common parent entity.C. Eliminations occur in the [Elimination] value members of the children of the first common parent account.D. If the consolidation rule in Application Settings is not enabled, the intercompany accounts do not eliminate.

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Correct Answer: BSection: (none)Explanation

Explanation/Reference:well modified.

QUESTION 8How many custom dimensions do Financial Management applications allow?

A. 2B. 3C. 4D. 5E. None. Financial Management supports only fixed dimensions.

Correct Answer: CSection: (none)Explanation

Explanation/Reference:

QUESTION 9In addition to Sub translate routine, which two application settings are also used for translate?

A. DefaultRateForICPAccountsB. DefaultRateForBalanceAccountsC. DefaultRateForExpenseAccountsD. DefaultRateForFlowAccounts

Correct Answer: BDSection: (none)Explanation

Explanation/Reference:

QUESTION 10

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Identify the three true statements about the Financial Management architecture.

A. Hyperion Financial Management uses a multitier architecture that includes a client tier, application tier, and a data tier.B. The client tier (user interface) communicates with the data tier.C. The client tier (user interface) communicates with the application tier.D. The application tier contains the application as well as the report and Web servers.E. The data tier contains the Essbase database for all Hyperion Financial Management application data and source data.

Correct Answer: ACDSection: (none)Explanation

Explanation/Reference:

QUESTION 11What feature in Financial Reporting allows you to "drill into" a dimension?

A. You cannot drill into dimensions in FR.B. ExpansionsC. Drill OptionsD. Zoom OptionsE. Enable for Smart Slice

Correct Answer: BSection: (none)Explanation

Explanation/Reference:

QUESTION 12What four actions can an administrator perform from the FM Administration menu?

A. Manage documents.B. View system messages.C. Run Data and Task Audits.D. Manage Task Flows.

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E. Manage Security.

Correct Answer: ABCDSection: (none)Explanation

Explanation/Reference:

QUESTION 13In which four ways can a user access FR reports?

A. In the Workspace in HTML modeB. In the Workspace in PDF modeC. Over the Web outside of the Workspace in HTML modeD. In Smart View using the BI+ ConnectionE. In PDF format from an email

Correct Answer: ABDESection: (none)Explanation

Explanation/Reference:

QUESTION 14Identify the correct sequence for building a Classic FM application:

1-Create the application shell.2-Create an application profile.3-Define metadata such as dimensions and application settings. 4-Load data, data forms, member lists, rules, and journals.5-Define security.

A. 1, 2, 3, 4, 5B. 2, 1, 4, 3, 5C. 2, 1, 5, 3, 4D. 1, 2, 5, 3, 4E. 1, 2, 3, 5, 4

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Correct Answer: CSection: (none)Explanation

Explanation/Reference:

QUESTION 15Identify two true statements about the native data load file format.

A. The default column order for the native data file is Scenario, Year, Period, View, Entity, Value, Account, ICP, Custom1, Custom2, Custom3, and Custom4.B. You cannot change the column order for the data file.C. The Group section defines the POV for the data file; you can define only a single member for each POV dimension.D. The Line Items detail section contains data values.E. The Group section is required.

Correct Answer: ADSection: (none)Explanation

Explanation/Reference:

QUESTION 16Identify the two true statements about rule types in FM.

A. The Dynamic rule type allows you to calculate both parent and base accounts.B. The NoInput rule type prevents users from entering data into specific cells or slices of cells using Hs.Nolnput.C. Calculate, Dynamic, Allocation, Input, No Input, Translate, Consolidate, Transactions, and Equity pickup are all valid rule types.D. If you need to calculate Gross Margin %, use the Translate rule type.E. Calculation rules are run only with FM specific calculation commands in Financial Management; no general VB commands.

Correct Answer: BCSection: (none)Explanation

Explanation/Reference:

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QUESTION 17Given the following syntax in a business rule:

Identify the two variables.

A. Calculate ()B. strviewC. Hs.ExpD. DIFFERENCEE. strPOV

Correct Answer: BESection: (none)Explanation

Explanation/Reference:

QUESTION 18

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Identify the three true statements about Dimension Associations in EPMA.

A. Dimension associations are used when a property in one dimension is associated with the members in another dimension.B. The Security Class dimension is associated with the Security Class property only in an Account and Entity.C. The Alias dimension is associated with the Alias property for Account, Entity, and Scenario dimensions.D. The Currency dimension is associated with the Currency property of the Account dimension.E. A Plug Account from the Account dimension can be associated with the Account dimension.

Correct Answer: ACDSection: (none)Explanation

Explanation/Reference:

QUESTION 19Identify the three true statements. The EPMA import files for metadata_______.

A. Contains sections for Dimensions, Dimension Associations, Hierarchies, and MembersB. Requires the Dimensions, Dimension Associations, Hierarchies, and Members section to create a dimensionC. Expects the Hierarchies section to be in Parent/Child formatD. Requires that all members must be declared in the Members section before they can be added to the HIERARCHIES sectionE. Has it that the header, file_format = ads version =1.0, is optional for the import file

Correct Answer: ACESection: (none)Explanation

Explanation/Reference:

QUESTION 20How many members Lists can you load at one time?

A. 1B. 2C. 4D. 10

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Correct Answer: ASection: (none)Explanation

Explanation/Reference:

QUESTION 21Identify the three true statements about ERP Integrator (ERPI).

A. ERPI supports PeopleSoft, Oracle E-Business Suite and SAP.B. ERPI integrates metadata and data from ERP source system into an Oracle Hyperion EPM target application.C. ERPI provides drill through from Financial Management data forms, Smart View, and Financial Reporting.D. ERPI provides drill through to BI Dashboards.E. ERPI under the covers is Oracle Data Integrator.

Correct Answer: ABDSection: (none)Explanation

Explanation/Reference:

QUESTION 22How does the FM administrator manage the Intercompany Partner dimension?

A. By selecting and deselecting the IsICP field on the entity member propertiesB. By selecting and deselecting the IsICP field on the account member propertiesC. It cannot be maintained by the administrator. FM automatically creates the ICP dimension to match all members in the Entity dimension.D. It cannot be maintained by the administrator. FM automatically creates the ICP dimension to match all members in the Account dimension.E. Using the Dimension editor in the same way as a custom dimension or Entity dimension

Correct Answer: ASection: (none)Explanation

Explanation/Reference:

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QUESTION 23What are the two required steps for creating data synchronization?

A. Map dimensions.

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B. Assign default members.C. Define mappings for all membersD. Create the synchronization.E. Filter dimensions

Correct Answer: ABSection: (none)Explanation

Explanation/Reference:

QUESTION 24Which utility imports users, groups, and roles into Shared Services?

A. ImportSecurity.cmdB. ExportSecurity.cmdC. ProvisionUsers.cmdD. UpdateUsers.cmdE. CSSImport.cmd

Correct Answer: ASection: (none)Explanation

Explanation/Reference:

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QUESTION 25You are designing the custom dimensions for your FM application. Identify the true statement.

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A. A dimension, once used for a specific purpose, can be used only for that purpose.B. All hierarchies within a custom dimension are automatically available to all the accounts.C. You specify the custom dimension members valid for an account by using the Custom1 Top Member, Custom2 Top Member, Custom3 Top Member, and

Custom4 Top Member.D. Hierarchies on custom dimensions must be symmetrical, with the same number of children under every parent.E. Different hierarchies within a custom dimension cannot be assigned to different accounts.

Correct Answer: CSection: (none)Explanation

Explanation/Reference:corrected.

QUESTION 26A custom function in rules is useful for:

A. Organizing rules into subsets of codeB. Controlling the ending of an If/ThenC. Writing code that will be repeated in multiple placesD. Defining conjunctions to be used along with variablesE. Custom functions are not possible in FM,

Correct Answer: CSection: (none)Explanation

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Explanation/Reference:

QUESTION 27The file format load journals to FM can include which four sections?

A. File FormatB. ScenarioC. Journal GroupD. Standard

Correct Answer: ABCDSection: (none)Explanation

Explanation/Reference:

QUESTION 28Assuming you are using HFM Version 11.1.1.3, identify the three true statements about Calculation Manager.

A. FMRulesMigrator.exe will migrate VB scripts into business rules in Calculation Manager.B. There is no utility to migrate VB script rules to Calculation Manager.C. In Calculation Manager, you can toggle back and forth between the graphical and script mode.D. In Calculation Manager, you can create one script that can execute against both a Financial Management application and Planning application.E. To use a business rule, you must validate and deploy the business rule.

Correct Answer: ACDSection: (none)Explanation

Explanation/Reference:

QUESTION 29Which clearing data using the Database Management module, dimension is not included for selection?

A. Scenario

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B. AccountC. Custom1D. EntityE. Value

Correct Answer: CSection: (none)Explanation

Explanation/Reference:

QUESTION 30In a scenario with the zero view set to year-to-date, if January is $30 year to date and March is $90 year to date, what value does FM calculate for February year todate if no data is loaded?

A. 0B. 30C. 45D. 60E. -30

Correct Answer: ASection: (none)Explanation

Explanation/Reference:

QUESTION 31Assuming you are using version 11.1.1.3, right-click menus are available in

A. Data grids onlyB. Data forms onlyC. Task lists onlyD. Data grids and Data formsE. Data grids, Data forms, and Task lists

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Correct Answer: DSection: (none)Explanation

Explanation/Reference:

QUESTION 32You need to track and report an additional level of detail for journal entries, tracking whether the adjustment came from the GL, legal, or other source. Identify thebest method to meet this requirement.

A. It is not possible to track additional levels of detail in journals.B. Build a custom dimension to capture the additional level of detail.C. Build subaccounts in the Accounts dimension to capture the additional level of detail.D. Use commentary to note the sources of journals.E. Use line item details.

Correct Answer: BSection: (none)Explanation

Explanation/Reference:

QUESTION 33Given the following syntax in a business rule:

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A. Calculate ()B. strviewC. Hs.ExpD. DIFFERENCEE. Hs.Scenario.DEFAULTVIEW ("")

Correct Answer: ASection: (none)Explanation

Explanation/Reference:

QUESTION 34Your source data file has values for 12 months across the columns. What is the best way to load this file into FM with native load functionality?

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A. Split the file into 12 different files, each with a single month. Set the POV for the Period dimension = specific month.B. Define a range for periods in the POV with the following syntax: !Period = January..

December.C. Make sure the column header has the month label; FM will load the column to the correct month.D. List the months in the POV with the following syntax:! Period = January-December.E. List the months in the POV with the following syntax:! Period = January, December.

Correct Answer: BSection: (none)Explanation

Explanation/Reference:

QUESTION 35Identify the four levels of security in Financial Management

A. User AuthenticationB. DocumentC. TaskD. Cell LevelE. Data

Correct Answer: ABCESection: (none)Explanation

Explanation/Reference:

QUESTION 36What four steps are required to configure an FDM application with an FM application?

A. Dimension names between FDM and FM are set in the FDM workbench or the Web client under metadata/dimensions.B. Define the FM application name in Integration Settings in FDM.C. Define the FM server name in machine profiles' properties.D. Map locations to an entity using the FDM workbench under Integration Settings.E. Define the FDM Web server name under Integration Settings in the FDM workbench.

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Correct Answer: ABCDSection: (none)Explanation

Explanation/Reference:Integration Settings is an option in FDM web, and the only configuration in FDM workbench is the "default load balance server".The only configuration requirement for entering the FDM web server in the FDM workbench is in the HFM adapter configuration for FDM (not under IntegrationSetting) and even that is an optional setting which is only required when "Intersection Validation Report" is enabled. see fm11x_g6_a-target_adapter_readme.pdf inthe Hyperion EPM documentation library. (http://docs.oracle.com/cd/E17236_01/nav/portal_6.htm)

QUESTION 37You are loading data to FM under Load Tasks> Load Data. What are four valid options for how data should be loaded into the application?

A. MergeB. Clear and LoadC. ReplaceD. Replace by SecurityE. Accumulate within FileF. Append

Correct Answer: ACDESection: (none)Explanation

Explanation/Reference:perfected.

QUESTION 38What are the three characteristics of sub EnumMemberLists ()?

A. Specifies which dimensions have member listsB. Names each member list in each dimensionC. Specifies the valid members for a member listD. Specifies the number of lists for each dimensionE. Is used to create both static and dynamic lists

Correct Answer: ABDSection: (none)

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Explanation

Explanation/Reference:

QUESTION 39Identify the dimensions that are built by using the application profile?

A. Year and period onlyB. Value and view onlyC. View, Period, and YearD. Period, Value, and YearE. Scenario, Period, and Year

Correct Answer: CSection: (none)Explanation

Explanation/Reference:

QUESTION 40To which dimension do custom dimensions provide additional detail?

A. AccountsB. EntityC. ValueD. ICPE. Custom dimensions are independent of other dimensions.

Correct Answer: ASection: (none)Explanation

Explanation/Reference:

QUESTION 41The Account dimension's Is ICP "R" property specifies________.

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A. If ICP transactions, including self-ICP transactions, are enabled for the accountB. If ICP transactions are not enabled for the accountC. if ICP transactions can be drilled back to source activityD. if ICP transactions are enabled for the account, but the account cannot have ICP transactions with itself

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Correct Answer: DSection: (none)Explanation

Explanation/Reference:

QUESTION 42EPMA provides a Shared Dimension Library for maintaining EPM dimensions. Identify two reasons that would make you consider using EPMA to maintaindimensions over FM Classic metadata files?

A. You can use the same metadata file format from FM Classic to import dimensions In EPMA.B. Dimensions can be shared across applications or can be local to a specific application.C. In EPMA, you can make a change to a member in a shared dimension once and sync ft across FM and Planning applications.D. You can assign member access security in the EPMA dimension library for a shared dimension and sync it across FM and Planning applications.

Correct Answer: CDSection: (none)Explanation

Explanation/Reference:

QUESTION 43Which is the rule function used to notify the following year that a consolidation is needed due to recalculation of the current year?

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A. ExpB. ImpactStatusC. OpenDataUnitD. A rule function is not used; input subroutine is used.

Correct Answer: BSection: (none)Explanation

Explanation/Reference:answer is corrected.

QUESTION 44Identify the four processes through which Financial Management supports a virtual close.

A. A fully automated consolidation tool that combines financial data across many ledgers and consolidates to a corporate or business unit levelB. Automatic posting of eliminating entries, accrual entries, and allocationsC. Automated collection, mapping, verification, and movement of dataD. Automated intercompany processingE. Analysis capabilities throughout close over the Web and in Excel

Correct Answer: ACDESection: (none)Explanation

Explanation/Reference:

QUESTION 45Identify the three true statements about accounts and account types.

A. Financial Management provides predefined account types such as Asset, Revenue, Flow, Balance, and Dynamic.B. Account types tell FM how the child account should aggregate to the parent.C. Account types tell FM how the account balances should accumulate over time.D. Base level accounts do not automatically roll up to parents; business rules are required.E. Children cannot inherit the account type of their parent unless specifically defined by the administrator.

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Correct Answer: ABCSection: (none)Explanation

Explanation/Reference:"Each account has an account type. Account types determine how child accounts are aggregated to parent accounts and how account balances accumulate overtime."

Above is an explanation about account types directly from the HFM Admin guide published by Oracle.Additionally, this is true because Asset and Liability account types are balance sheet accounts and they represent a balance at a point in time. So, whether you lookat the amount in these accout types as periodic, QTD or YTD, the value is the same as it is not a cumlative amount.

The Revenue and Expense account types are income statement accounts and therefore the QTD and YTD amounts are an accumulation of the Periodic amounts.

QUESTION 46You are designing the dimensionality for your Financial Management application. Identify the two true statements about dimensionality in FM.

A. Scenario dimension contains members such as CYActual, CYBudget, and PYActual.B. Value dimension contains Periodic, year-to-date, quarter-to-date, and any custom members added by the administrator.C. Value dimension contains Entity Currency, Entity Curr Adj, Entity Curr Total, Parent Currency, and any currency members added by the administrator.D. The preferred method to add detail to accounts is to build subaccounts into the Accounts dimension.E. The Intercompany Partner dimension is managed by FM based on settings in the Entity dimension.

Correct Answer: CESection: (none)Explanation

Explanation/Reference:

QUESTION 47A Classic FM application profile contains which three components?

A. FrequencyB. CalendarC. Dimension AssociationsD. Language(s)E. Scenario

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Correct Answer: ABDSection: (none)Explanation

Explanation/Reference:

QUESTION 48Identify the three true statements about Financial Reporting.

A. Financial Reporting provides highly formatted, printable reports for FM applications.

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B. Financial Reporting provides ad hoc reporting capabilities for FM applications.C. Financial Reporting document types include reports, books, snapshots, and snapshot books.D. You can create a single P&L report and run that report for any member in the Entity dimension

Correct Answer: ACDSection: (none)Explanation

Explanation/Reference:

QUESTION 49Before you can define an alias for a dimension or member in EPMA, you must

A. Do nothing; the Alias property is created by defaultB. Create an Alias dimension and associate itC. Create an Alias attributeD. Create an Alias PropertyE. Create an Alias Table

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Correct Answer: BSection: (none)Explanation

Explanation/Reference:

QUESTION 50Identify three valid application settings

A. MaxNumDocAttachmentsB. UseSecurityForEntitiesC. UseSecurityForValueD. Va1idationAccountE. SupportSubmissionPhaseforEntity

Correct Answer: ABDSection: (none)Explanation

Explanation/Reference:

QUESTION 51Identify the purpose of using task lists.

A. To upload user "to do" items to FM with due dates and alert datesB. To organize and group related tasks into a navigational aid for usersC. To create lists of members with VB scriptD. To list tasks to be executed by the FM ServerE. To define the review path for consolidation review

Correct Answer: BSection: (none)Explanation

Explanation/Reference:

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QUESTION 52What are two effects of deploying an EPMA application?

A. The EPMA metadata is extracted to a text file.B. If enabled, it pushes the data to Essbase via Essbase Analytic Link for FM.C. The EPMA application metadata is used to create an FM application on the FM server.D. The application is sent out to a star schema for use by Essbase and other products.E. When you redeploy an application, the application metadata is merged or replaced based on the changes made since the last deployment.

Correct Answer: CESection: (none)Explanation

Explanation/Reference:

QUESTION 53You need to migrate an FM application in version 11 from development to production. Your environment has two instances of Shared Services, one fordevelopment and one for production. Identify the two true statements about using Life Cycle Management to perform the application migration from development toproduction within this environment.

A. You can select specific objects to migrate or all objects to migrate.B. Migrating applications from development to production in disconnected environments, where there are two instances of Shared Services, is not supported.C. Life Cycle Management will migrate both objects and data.D. Life Cycle Management will generate an XML file that can be modified and used for importing to target applications.E. The only role necessary to perform LCM activities is Application Administrator.

Correct Answer: ADSection: (none)Explanation

Explanation/Reference:

QUESTION 54Identify the three true statements about I/C activity.

A. Intercompany transactions are eliminated at the first common parent.B. Intercompany transactions can be processed for both open and closed periods.

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C. Matching tolerances can be set by percent, dollar amount, or both.D. Eliminations are processed during both Calculation and Consolidation processes.E. I/C reports are available to display transactions by status-Matched, Mismatched, or Unmatched.

Correct Answer: ACESection: (none)Explanation

Explanation/Reference:

QUESTION 55For metadata loads, you can import changes to metadata for which three application elements?

A. PeriodsB. AccountsC. EntitiesD. CurrenciesE. Value

Correct Answer: BCDSection: (none)Explanation

Explanation/Reference:

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