Answers 100% Verified By Experts
Which four options enable updates to metadata within Financial Consolidation and
Close (FCCS)?
A. SmartView
B. Metadata import
C. Pod-to-Pod Connection
D. Master Data Management Cloud Manager
E. FUSE Metadata Editor
F. Classic metadata editor - ANSWER-B. Metadata import
E. FUSE Metadata Editor
A. SmartView
F. Classic metadata editor
Once metadata is updated and the Refresh Database have completed successfully,
how will the status via the default Data Status grid for all entities be listed?
A. Need Translate
B. Impacted
C. OK
D. System Changed (SC) - ANSWER-D. System Changed (SC)
What information is included in the data extract export file delimited format?
A. the domain and application name
B. the application name
C. the data load cube name
, D. the ID of the user performing the extract - ANSWER-C. the data load cube name
What will Financial Consolidation and Close (FCCS) do when adding a new member
that is an expense type account under a parent that is set as an income type account?
A. subtract amounts consolidated to the parent
B. this setting will not affect additions or subtractions to the next parent
C. you can't load data to this account
D. add amounts consolidated to the parent - ANSWER-B. this setting will not affect
additions or subtractions to the next parent
Which is NOT a member of the Data Source Dimension created by Financial
Consolidation and Close (FCCS)?
A. FCCS_SystemTypes
B. FCCS_Proportion
C. FCCS_Data Input
D. FCCS_No Data Source - ANSWER-B. FCCS_Proportion
Which item describes the use for the Currency dimension property called Triangulation
Currency?
A. The ability to report in multiple currencies
B. The ability to force translations
C. The ability to calculate CTA (Cumulative Translation Adjustment)
D. The ability to input foreign exchange rates
E. The ability to calculate foreign exchange rates - ANSWER-E. The ability to calculate
foreign exchange rates
Which statement is FALSE when setting up Shared Entities?