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1Z0-1055-25 Oracle Financials Cloud Payables Imple Practice
Rating: 3.8 out of 5(27 ratings)
209 students

1Z0-1055-25 Oracle Financials Cloud Payables Imple Practice

1Z0-1055-25: Oracle Financials Cloud: Payables 2025 Implementation Professional Practice Exam
Created byVilas Bachhav
Last updated 4/2026
English

What you'll learn

  • Configuration Proficiency:
  • Invoice Processing Expertise:
  • Supplier Relationship Management:
  • Financial Reporting and Compliance:

Included in This Course

220 questions
  • 1Z0-1055-2655 questions
  • 1Z0-1055-2655 questions
  • 1Z0-1055-2655 questions
  • 1Z0-1055-2655 questions

Description

Course covers following topics:

1. Payables Invoices: These are documents received from suppliers for goods or services provided. They detail the amount owed and payment terms.

2. Integrated Imaging Solution: A software system that digitizes and manages documents, like invoices, improving accessibility and efficiency.

3. Create an Account for Invoices: Establishing a dedicated account to track and manage payable invoices within a company's financial system.

4. Manage Suppliers: The process of onboarding, updating, and overseeing vendor relationships to ensure a smooth supply chain.

5. Payments: The act of settling financial obligations to suppliers, often through methods like checks, electronic transfers, or online platforms.

6. Create and Process Payments: Generating and executing payment instructions based on approved invoices to fulfill financial obligations.

7. Bank Reconciliations: Aligning internal financial records with bank statements to ensure accuracy and identify discrepancies.

8. Expenses: Costs incurred by a company for various operational activities.

9. Enter Expense Reports: Submitting records of incurred expenses by employees for reimbursement and accounting purposes.

10. Manage Expense Approval: Reviewing and approving submitted expense reports to ensure compliance with company policies.

11. Process Expense Reimbursements: Disbursing funds to employees to cover approved expenses they've incurred.

12. Manage Corporate Cards: Overseeing the issuance, usage, and monitoring of company-provided credit or debit cards for business expenses.

13. Audit Expense Reports: Thoroughly reviewing expense reports to verify accuracy, compliance, and appropriateness.

14. Set up Expenses: Establishing guidelines and procedures for recording and managing company expenses.

15. Configure Payables and Payments: Customizing the financial system's settings for payables processing and payment methods.

16. Manage Withholding and Transaction Taxes: Handling the deduction and reporting of taxes from payments made to suppliers.

17. Manage Business Units: Overseeing different operational divisions or segments within a company.

18. Manage Subledger Accounting: Handling the detailed accounting records beneath the general ledger, often used for specific accounts or departments.

19. Manage Invoice and Payment Approvals: Supervising the process of reviewing and approving invoices and payment requests.

20. Reporting and Period Close: Preparing financial reports and finalizing records at the end of a financial period.

21. Oracle Transactional Business Intelligence (OTBI): A tool for real-time reporting and analytics based on transactional data in the Oracle ecosystem.

22. Use Business Intelligence Publisher (BIP) Reports: Generating customizable reports using Oracle's Business Intelligence Publisher tool.

23. Use the Payables to Ledger Reconciliation Report: Utilizing a report to ensure consistency between payables transactions and ledger entries.

24. Close Process: A series of steps taken to conclude financial records and produce accurate financial statements at the end of a financial period.

Who this course is for:

  • End User
  • Application Implementer
  • Application Consultant