[Jan-2025] Oracle 1Z0-1050-24 DUMPS WITH REAL EXAM QUESTIONS [Q10-Q34]

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[Jan-2025] Oracle 1Z0-1050-24 DUMPS WITH REAL EXAM QUESTIONS

2025 New Dumpleader 1Z0-1050-24 PDF Recently Updated Questions

Q10. You are a payroll customer but when you have created an earnings element using the Manage Elements feature it has not created a pay value input value.
What is the reason for this?

 
 
 
 

Q11. What three options should be considered while defining a costing key flexfield structure? (Choose three.)

 
 
 
 

Q12. You have a requirement for not processing an element entry based on a specific condition that will be evaluated during payroll run. How should you achieve this?

 
 
 
 

Q13. As a general rule when costing an element created with a primary classification of standard earnings, what element and input value do you cost?

 
 
 
 

Q14. How should you configure the predefined payslip report to meet your customer’s payslip requirements?

 
 
 
 

Q15. You are creating a custom balance that needs to include run results of all elements associated with the regular earnings and supplemental earnings classifications.
How should you define the balance feeds to meet this requirement?

 
 
 
 

Q16. If the status of a task on the checklist is “On Hold”, what actions can be taken against that task?

 
 
 
 

Q17. Where do you define a custom schedule to be used during payroll flow submission?
Response:

 
 
 
 

Q18. Which two statements regarding the relationship between legal entities, legal employers, and payroll statutory units (PSU) are correct? (Choose two.)

 
 
 
 

Q19. You have a requirement to stop the new entries from being created for an element and to continue the existing entries. How do you achieve this?
Response:

 
 
 
 

Q20. You have an earnings element with the latest entry date as “Last Standard Earning Date” without Proation enabled.
When an employee is terminated in the middle of a pay period, how would the element be processed?

 
 
 
 

Q21. You are creating a car allowance element. The rules for this allowance need to reference the salary balance.
How can you meet this requirement?

 
 
 
 

Q22. A customer wants to distribute the costs of a benefits element, which is at payroll relationship level, to employee earnings.
How should you define the costing rules to meet this requirement?

 
 
 
 

Q23. A court has issued an order for deductions to be taken from a worker’s salary and paid to an ex-spouse. The court order includes instructions for the company to make payments directly to the ex-spouse and has included their bank details.
How should you enter these details into the application?

 
 
 
 

Q24. Which legislative data group (LDG) description is incorrect?
Response:

 
 
 
 

Q25. What happens if the costing process does not find a value for a segment defined as mandatory, and you create a suspense account at Payroll level?
Response:

 
 
 
 

Q26. Your customer pays their workers on a semi-monthly payroll frequency. To save costs, the customer is changing their company policy and effective from 1st January, all workers will be paid on a monthly payroll frequency.
What action should you take to implement this change?

 
 
 
 

Q27. A worker’s check has been returned to the company as it is damaged. This must be recorded in the application. What action should they take?

 
 
 
 

Q28. You were trying to attach the lookup that you created to an input value in order to restrict the values for that input value, but the lookup field is not enabled.
What is the reason for the lookup field not being enabled?

 
 
 
 

Q29. You have a tax deduction element that credits the same account for all employees irrespective of their home department.
How do you define the costing rules to meet this requirement?

 
 
 
 

Q30. A worker moves to a different legal employer within the same country. The HR uses performs a global transfer to meet this requirement.
What is the impact of the transfer on the worker’s payroll relationship record?

 
 
 
 

Q31. Which delivered report can be used to verify the details of all payments made to third-parties?

 
 
 
 

Q32. A customer has asked for notifications to be sent for tasks within a flow pattern. Notifications can be sent based on the statuses of the flow task.
Which option should the task statuses that are supported?

 
 
 
 

Q33. Your customer has the financial system in a third party system and you have to send the payroll costing entries to a third party system. Which two options should be used to extract the data from Cloud Payroll system?

 
 
 
 

Q34. Where do you define a custom schedule to be used during payroll flow submission?

 
 
 
 

Latest 1Z0-1050-24 Pass Guaranteed Exam Dumps Certification Sample Questions: https://www.dumpleader.com/1Z0-1050-24_exam.html

         

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