Online Access Free 1Z0-1008 Practice Test

Exam Code:1Z0-1008
Exam Name:Oracle Project Portfolio Management Cloud 2018 Implementation Essentials
Certification Provider:Oracle
Free Question Number:92
Posted:Sep 01, 2025
Rating
100%

Question 1

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 review the 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

Question 2

You have projects 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.)

Question 3

After completing setups in a source environment, your customer wants to move the setup data to a target environment. Identify the two statements related to task list scope, which you must consider before taking a decision based on the customer requirement. (Choose two.)

Question 4

Your customer wants to assign the Net 45 payment term to all sets except for the corporate business unit specific set, which is assigned the Net 15 payment term. At transaction entry, the list of values for payment terms consists of only one set of data: the set that is assigned to the transaction's business unit.
Which reference data sharing method would you set up to meet the customer requirement? (Choose the best answer.)

Question 5

Your customer has a requirement to import and process third-party transactions that are "costed" and
"accounted".
Which configuration option needs to be set satisfy the requirement? (Choose the best answer.)

Add Comments

Your email address will not be published. Required fields are marked *

insert code
Type the characters from the picture.