1Z0-516 Oracle E-Business Suite General Ledger Essentials

Exam Number: 1Z0-516 Oracle E-Business Suite R12.1 General Ledger Essentials


Associated Certifications: Oracle E-Business Suite 12 Financial Management Certified Implementation Specialist: Oracle General Ledger

Exam Product Version: E-Business Suite Financial Management

Exam Price: EGP 1126

Duration: 150 minutes

Number of Questions: 80 for both sections combined

Passing Score: E-business Essentials - 60% General Ledger - 60% There are two sections to this exam. Both sections of the exam MUST be passed in order the pass the exam

Validated Against:   This exam is valid for Oracle E-Business Suite 12 and 12.1.

format:     Multiple Choice

Recommended Training

R12.x Oracle E-Business Suite Essentials for Implementers and

R12.x Oracle General Ledger Management Fundamentals

Exam Topics


Navigating in R12 Oracle Applications

Log in to Oracle Applications
Navigate from Personal Home Page to Applications
Choose a responsibility
Create Favorites and set Preferences
Use Forms and Menus
Enter data using Forms
Search for data using Forms
Access online Help
Run and monitor Reports and Programs
Log out of Oracle Applications

Introduction to Oracle Applications R12

Explain the footprint of R12 E-Business Suite
Describe the benefits of R12 E-Business Suite
Describe R12 E-Business Suite architecture

Shared Entities and Integration

Explain shared entities within R12 E-Business Suite
Describe key integration points and business flows between products in E-Business Suite (EBS)
Identify Key Business Flows and products involved in E-Business Suite (EBS)

Fundamentals of Flexfields

Describe Flexfields and their components
Identify the steps to implement a Flexfield
Define value sets and values
Define Key Flexfields
Define Descriptive Flexfields

Fundamentals of Multi-Org

Define Multiple Organization (Multi-Org)
Describe the types of organizations supported in the Multi-Org model
Explain the entities of Multi-Org
Explain how Multi-Org secures data
Identify key implementation considerations for Multi-Org
Define Multi-Org Access Control
Explain Multi-Org preferences
Explain Enhanced Multiple-Organization Reporting
Explain the concepts of subledger accounting

Fundamentals of Workflow and Alerts

Explain Workflow concepts
Describe the benefits of Workflow


Oracle General Ledger Process

Identify the steps required to complete the accounting cycle using Oracle General Ledger
Describe how Oracle General Ledger integrates with other Oracle eBusiness applications
Describe the integration of Oracle General Ledger with Oracle Subledgers & non-Oracle systems
Explain implementation considerations for setting up and using Oracle General Ledger and Oracle eBusiness Suite
Describe an overview of Accounting Setup Manager, currency concepts, budgeting, EPB, reporting & analysis

Basic Journal Entries

Describe how journal entries are positioned in the accounting cycle
Describe the different Journal Posting options
Define how to perform Account Inquiries & Drilldown to Oracle Subledger Applications
Import journal entry information using the GL_INTERFACE table
Plan the key elements of Web Applications Desktop Integrator (Web ADI)
Define Web ADI setup options for key flexfields
Utilize Web ADI profile options, forms functions, menus, and responsibilities

Advanced Security

Manage Data Access Security for Legal Entities and Ledgers
Explain key Advanced Security setups and process
Manage Data Access Sets
Control security of Management Reporting


Explain Multi-Currency concepts
Use Currency Rate Manager
Perform Foreign currency journals Entry
Perform Revaluation of foreign currency balances
Translate functional balances into foreign currency
Describe overview of Secondary Tracking Segment
Use Foreign Currency Reports

Financial Reporting

Explain the positioning of Financial Reporting within the Oracle General Ledger business flow
Build basic reports
Use key elements of the Financial Statement Generator (FSG) for creating financial reports
Use Standard listing reports available for FSG report definitions
Create FSG Reports with XML Publisher
Use Web ADI for Financial Reporting
Explain key implementation issues regarding Oracle General Ledger financial reporting

Accounting Setup Manager

Describe the components of Ledger Processing options
Describe Secondary Ledgers & Reporting Currencies
Describe Accounting Setup considerations with one legal entity
Describe Accounting Setup considerations with multiple legal entities
Describe Accounting Setup considerations with no legal entities

Accounting Setups

Create Accounting Setups
Describe the various Subledger Accounting Options
Perform the Primary Ledger Setup steps
Describe Ledger Balancing Segment Value Assignments
Perform the Secondary Ledger Setup steps
Complete Accounting Setup

Advanced Journal Entries

Create Recurring Journals
Formulate Mass Allocation Journals
Describe AutoAllocations and related implementation considerations
Explain AutoScheduling
Describe the Journal Scheduling process
Describe key issues and considerations when implementing Advanced Journal Entry
Describe the business benefits of using Oracle General Ledger's Advanced Journal Entry functions


Explain overview of Consolidations and their positioning within the Oracle General Ledger business flow
Identify the key implementation issues regarding consolidations
Use the features and functionality of Global Consolidation System (GCS)
Use the elements of the Consolidation Workbench
Create eliminating entries
Use Standard reports and inquiry options available for consolidations Ledger 
Describe the elements required to create a ledger within Oracle General Ledger
Describe the basic components of Accounting Setup
Describe the important elements for creating a Chart of Accounts structure
Creating a new Accounting Flexfield structure
Utilize the Account Hierarchy Manager to view and maintain Accounting Flexfield values

Summary Accounts

Explain summary accounts and how they are used in General Ledger
Define How Parent Values/ Rollup Groups are used in General Ledger
Determine how Summary Templates are used
Use Budgetary Control & maintain Summary accounts
Plan and maintain Summary Account structures

Financial Budgeting

Explain the anatomy of a budget
Explain the components of budget accounting cycle
Define budget and budget organization
Explain Budget Entry methods
Apply Budget Rules
Transfer budget amounts
Perform budget review and correction
Translate budget balances
Review balances in Master/Detail budgets
Create budgets with Budget Wizards
Use available Standard budget reports
Plan Budget implementation requirements

Period Close

Explain the accounting cycle
Perform key steps in the close process
Perform journal import of subledger balances
Perform Subledger Reconciliation
Explain the Period Closing Process and Reports
Consolidate account balances 




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