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Updated: May 30, 2026
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1. Which three are part of using the Rapid Implementation for Project Financial Management Applications macro-enabled Microsoft Excel spreadsheet to enter setup data?
A) File Import and Export.
B) Upload setup data.
C) Generate CSV files.
D) Prepare setup data.
E) Import Projects.
2. Identify the three contract attributes from Project Performance Data that are used in Project Performance dashboard regions. (Choose three.)
A) Expenditure Type
B) Contract Header
C) Contract Line
D) Task
E) Projects
3. Your client uses Resource Breakdown Structures (RBS) and Resource Mapping to associate amounts to resources. After making some changes to the resources at project level, forecasts are regenerated. After reviewing the cost amounts associated with the resources, you suspect that the cost association does not match your client's expectations. Identify two valid rules based on which cost association works. (Choose two.)
A) If a transaction maps to more than one level, Oracle PPM Cloud sums the precedence numbers for all resource type in the branch and gives precedence to the resource element in the branch with the highest sum.
B) If one branch contains a user-defined resource type, precedence is given to the branch that contains a user-defined resource type.
C) If there is only one level in RBS to which the transaction maps, the cost amounts are mapped to that level.
D) If the sum of precedence numbers is the same for more than one branch, precedence is given to the branch with the lowest number at the lowest level.
4. Which three setups can be configured by using Rapid Implementation for Project Financial Management Applications?
A) Project Class Categories
B) Expenditure Types
C) Project Types
D) Project Templates
E) Work Type
5. 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.)
A) assignment to multiple sets; no common values allowed
B) assignment to multiple sets; common values allowed
C) assignment to one set only; no common values allowed
D) assignment to one set only with common values
Solutions:
| Question # 1 Answer: B,C,D | Question # 2 Answer: C,D,E | Question # 3 Answer: C,D | Question # 4 Answer: B,C,D | Question # 5 Answer: A |
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