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Oracle Project Management Cloud 2025 Implementation Professional

Last Update 19 hours ago Total Questions : 126

The Oracle Project Management Cloud 2025 Implementation Professional content is now fully updated, with all current exam questions added 19 hours ago. Deciding to include 1z0-1057-25 practice exam questions in your study plan goes far beyond basic test preparation.

You'll find that our 1z0-1057-25 exam questions frequently feature detailed scenarios and practical problem-solving exercises that directly mirror industry challenges. Engaging with these 1z0-1057-25 sample sets allows you to effectively manage your time and pace yourself, giving you the ability to finish any Oracle Project Management Cloud 2025 Implementation Professional practice test comfortably within the allotted time.

Question # 11

Which product offering enables you to collaboratively plan and deliver projects by leveraging intuitive and integrated scheduling tools?

A.

Resource Management

B.

Project Control

C.

Project Management

D.

Project Costing

Question # 12

You create a contract with two contract lines: Line 1 and Line 2. You create separate bill plans: A for contract Line 1 and B contract for Line 2, with a different bill set number (11 for Bill Plan A and 22 for Bill Plan B).

Then Bill Plan A is allocated against Project X – Task 10, and Bill Plan B is allocated against Project Y – Task 30.

Based on the preceding setup, you are generating invoices. Identify two correct statements about invoice generation in this scenario. (Choose two.)

A.

Both the contract lines create only a single invoice because they are using the same contract.

B.

Two invoices are created using the same contract.

C.

Bill set number drives the grouping of transactions.

D.

Invoice generation does not depend on bill plan. The invoices are created based on the contract line.

Question # 13

Your client has implemented Oracle Cloud Applications with their United States business unit and United Kingdom business unit. After six months, they acquired another company in China and added a China business unit. A project accountant in your organization is authorized to access transactions for the US, UK, and China business units. The project accountant can see the transactions for the US and UK business units but not for the China business unit. Why is he not able to see the transactions for the China business unit? ( Choose the best answer .)

A.

The JOB role relevant to the China business unit is not assigned to the project accountant.

B.

The project accountant is not assigned to the external role that grants access to the China business unit.

C.

The US and UK business units are linked to different ledgers than the China business unit.

D.

The China business unit is associated with a different legal entity than the US and UK business units.

Question # 14

Your customer complains that their project resources do not report their time promptly, which has resulted in incorrect reporting of project performance. What should you do to fix this problem? (Choose the best answer.)

A.

Enable track missing time at project unit.

B.

Enable track missing time at project type.

C.

Enable track missing time at project template.

D.

Enable track missing time at business unit.

Question # 15

You have defined two expenditure types , but they are not available for selection when you enter an expenditure batch. Identify the reason for this problem. ( Choose the best answer .)

A.

The two expenditure types are not assigned to the reference data set that is assigned to the project unit in which the transaction is performed .

B.

The two expenditure types are not assigned to the reference data set that is assigned to the project-owning organization in which the transaction is performed.

C.

The two expenditure types are not assigned to the reference data set that is assigned to the project expenditure organization in which the transaction is performed.

D.

The two expenditure types are not assigned to the reference data set that is assigned to the business unit in which the transaction is performed.

Question # 16

You are implementing Project Portfolio Management for a global professional services organization. In their Consulting Services line of business, it is common to use resources from different business units based on the skills required. Therefore, cross-charge transactions happen between business units within the same legal entity. Transfer price calculations need to be based on raw costs, with no further adjustments to transfer price .

Identify two setups that can drive this borrowed and lent agreement. ( Choose two .)

A.

Transfer price basis must be Raw Cost and calculation method must be Basis Only .

B.

Transfer price basis must be Burdened Cost, and calculation method must be Burden Rate Schedule.

C.

A document entry such as straight time must be enabled for cross-charge transactions.

D.

Transfer price basis must be Raw Cost and calculation method must be Rate Schedule.

Question # 17

You configure one OTBI using Project Cross Subject Area Analysis Real Time. You notice that all measures (Budget, Forecast, Cost, Commitments, Revenue, and Invoice) are not available for Bill-To-Customer and Contract and Contract Line dimensions. Identify the reason for this behavior. (Choose the best answer.)

A.

The Bill-To-Customer dimension applies only to Invoice measures, but the Contract and Contract Line dimensions do not apply to Revenue and Invoice measures.

B.

The Bill-To-Customer dimension applies only to Revenue and Invoice measures.

C.

The Contract and Contract Line dimensions apply only to Invoice measures.

D.

The Bill-To-Customer dimension applies to Invoice measures, and the Contract and Contract Line dimensions apply to Revenue and Invoice measures.

E.

The Bill-To-Customer dimension does not apply to Invoice measures, but the Contract and Contract Line dimensions apply only to Revenue and Invoice measures.

Question # 18

Your company creates a separate project for infrastructure services, so as to track these costs separately and then allocate to various projects that use the services of the infrastructure team. You want to allocate these costs by first attributing a fixed percentage of the source amount to each project and then spread it across tasks based on the actual labor hours charged to each task.

Which allocation basis method would you use to meet this requirement? (Choose the best answer.)

A.

spread evenly

B.

target percentage and prorate

C.

target percentage and spread evenly

D.

prorate

Question # 19

Your organization has a requirement to create and apply a new theme for the application user interface.

Which option allows you to achieve this requirement?

A.

Structure Page

B.

Appearance Page

C.

Setup and Maintenance Work Area

D.

User Interface Text

Question # 20

You are managing a project based on a Waterfall model. You define a project and a project plan in Oracle Project Portfolio Management with tasks and subtasks applicable to each of the phases of the project: Initiation, Discovery, Design, Build, Test, and Deploy. As a project manager, you want to define deliverables for your project requirements that are elucidated during the Discovery phase of your project. You now want to understand how the inheritance between requirements, tasks, and deliverables works. Identify the two correct statements in this respect. ( Choose two .)

A.

A deliverable associated with a requirement is automatically associated with the tasks created for that requirement.

B.

The association of a deliverable with a task is dependent on associating a requirement with a task.

C.

A deliverable associated with a requirement is not automatically associated with the tasks created for that requirement.

D.

You associate a deliverable with a task, independent of associating a requirement with a task.

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