Oracle Fusion Project Portfolio Management 2014 Essentials: 1z0-498 Exam

"Oracle Fusion Project Portfolio Management 2014 Essentials", also known as 1z0-498 exam, is a Oracle Certification. With the complete collection of questions and answers, iPassleader has assembled to take you through 79 Q&As to your 1z0-498 Exam preparation. In the 1z0-498 exam resources, you will cover every field and category in 11g Certification helping to ready you for your successful Oracle Certification.

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  • Updated on: Sep 03, 2026
  • No. of Questions: 79 Questions & Answers

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Oracle 1z0-498 Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Project Costing25%- Capital Project Costing
  • 1. Capitalizable cost setup
    • 2. Asset assignment and capitalization
      - Cost Setup and Allocation
      • 1. Set up burdening and overhead rules
        • 2. Configure cost allocation methods
          • 3. Define expenditure types and formats
            Topic 2: Project Performance Reporting and Integration15%- OTBI and Analytics
            • 1. Configure transactional business intelligence
              • 2. Set up KPIs and performance dashboards
                - Cross-Module Integration
                • 1. Integrate with Oracle Financials
                  • 2. Security and function access setup
                    Topic 3: Project Foundation Configuration22%- Enterprise Structures and Project Units
                    • 1. Define business units and project units
                      • 2. Manage reference data sets
                        • 3. Set up calendars and accounting periods
                          - Project Types and Classifications
                          • 1. Define project classifications and categories
                            • 2. Configure project types
                              • 3. Set up project statuses and lifecycle
                                Topic 4: Project Billing and Revenue Management20%- Invoice Generation
                                • 1. Manage project invoicing options
                                  • 2. Integrate with Oracle Receivables
                                    - Contract and Revenue Setup
                                    • 1. Set up billing methods and schedules
                                      • 2. Configure contract types and terms
                                        • 3. Define revenue recognition rules
                                          Topic 5: Project Resource and Execution Management18%- Resource Setup
                                          • 1. Define resource classes and roles
                                            • 2. Set up resource calendars and rates
                                              - Project Planning and Execution
                                              • 1. Set up progress and status tracking
                                                • 2. Microsoft Project integration
                                                  • 3. Create and manage work breakdown structures

                                                    Oracle Fusion Project Portfolio Management 2014 Essentials Sample Questions:

                                                    Question 1

                                                    In your project, during the Project Business Unit implementation, you have set the project accounting calendar to the accounting calendar and you also selected the option to maintain common accounting and project accounting periods. In such a case, which application area is the project period status managed in?

                                                    A. Fusion General Ledger only
                                                    B. Both Fusion General Ledger and Fusion Project PortfolioManagement
                                                    C. In either Fusion Project Portfolio Management or in Fusion GL
                                                    D. US I onProject Portfolio Managementonly


                                                    Question 2

                                                    Select the appropriate phrase to accurately complete the sentence below.
                                                    Spread Curves in Fusion Project Portfolio Management allows you_____

                                                    A. distribute quantity, cost, and revenue amounts automatically acrossaccounting or project accounting periods
                                                    B. distribute quantity, cost, and revenue amounts automatically acrossproject accounting periods
                                                    C. distribute quantity, cost, and revenue amounts automatically acrossaccounting periods
                                                    D. distribute quantity, cost, and revenue amounts automatically acrossweekly calendars


                                                    Question 3

                                                    Select the appropriate phrase to fill in the blank below.
                                                    The Navigator is a hierarchical arrangement of Work Areas or Dashboards with ___.

                                                    A. function and data security
                                                    B. function security
                                                    C. data security
                                                    D. role security


                                                    Question 4

                                                    Identify which item is editable at the Project level

                                                    A. Workflows
                                                    B. Planning Amount
                                                    C. Third-party Scheduling
                                                    D. Default FinancialType
                                                    E. Multiple Transaction Currencies


                                                    Question 5

                                                    As you implement the Project Integration Gateway, you are required to set up the integration options for exporting actual amounts. What are the two valid options for export?

                                                    A. Actual Raw cost
                                                    B. Actual Burdened Cost
                                                    C. Actual Quantities end Raw Cost
                                                    D. Actual Quantitiesand Burdened Costs


                                                    Solutions:

                                                    Question 1
                                                    Answer: C
                                                    Question 2
                                                    Answer: A
                                                    Question 3
                                                    Answer: C
                                                    Question 4
                                                    Answer: A
                                                    Question 5
                                                    Answer: A,D

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