To pass the Oracle 1Z0-1087-21 certification exam, candidates need to have a thorough understanding of the Oracle ARCS 2021 application, including its features, functionalities, and capabilities. They should also be familiar with the implementation process, from planning and designing the solution to configuring and managing the application. Candidates should also have experience in managing the reconciliation process, including account reconciliation, transaction matching, and exception handling.
Oracle 1Z0-1087-21 exam covers a wide range of topics related to the implementation of Oracle ARCS 2021. These topics include the installation and configuration of ARCS, reconciliation control design and implementation, data loads, security and access control, and troubleshooting and monitoring. 1Z0-1087-21 exam is designed to test the candidate's knowledge of these topics and their ability to apply this knowledge in real-world scenarios.
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The 1Z0-1087-21 exam covers a range of topics related to the implementation and management of the Oracle Account Reconciliation Cloud Service. These topics include configuring the solution, managing users and security, setting up reconciliations, performing matching and exception handling, and generating reports and analytics. 1Z0-1087-21 exam is designed for professionals who have experience working with Oracle Cloud solutions and have a good understanding of accounting and financial processes.
Oracle 1Z0-1087-21 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Topic 1: Solution Overview | - Reconciliation Compliance and Transaction Matching overview - Reconciliation process and methods - User roles and access control |
| Topic 2: Configuring Transaction Matching | - Formats and profiles for transaction matching - Match types, data sources, and attributes - Matching rules and processes - Currency rates and buckets |
| Topic 3: Managing Reconciliations | - Data loading methods (EPM Automate, REST APIs) - Individual, group, and summary reconciliations - Review, approve, reject, and reopen reconciliations - Transfer reconciliations between users |
| Topic 4: Transaction Matching Operations | - Export adjustments to journal entries - Use cases for clearing and accrual reconciliations - Period-end balancing - Analyze and manage matches |
| Topic 5: Configuring Reconciliation Compliance | - Teams, calendars, and period management - Five balancing scenarios (Golden Rules) - Create and manage formats - Create and manage profiles |






