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Oracle 1z1-415 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Interfaces and Integration | - External system integration
|
| Payments and Channels | - Payment processing
|
| Accounting and Financial Integration | - General ledger integration
|
| Security and User Management | - Access control
|
| Core Banking Configuration | - Customer and account setup
|
| Batch Processing and Operations | - End-of-day processing
|
| FLEXCUBE Architecture Overview | - System architecture and components
|
| Product and Pricing Configuration | - Product setup and lifecycle
|
Oracle FLEXCUBE Universal Banking 12 Advanced Functional Implementation Essentials Sample Questions:
1. The status of an installment changes from Normal to Past Due Obligation. A bank wants to levy a charge of $5 USD on it. How can the charge be defined and levied?(Choose the best answer)
A) Define the charge as an UDE and link it at the Installment level status change
B) Define the charge as a component at the Product Component Class level and link it at the Account level status change.
C) Define the charge as a component at the Product Component Class level Default the component by mapping the Component Class to the Product and link the charge component at the Installment level status change.
D) Define the charge as a component at the Product level and link it on the Loan Account Charges screen.
2. Home loans are given at a fixed interest rate of 10%. The rate now must be increased to 11 %. How can this be done in the system? (Choose the best answer.
A) by changing the rate value in Loan Account UDEs
B) by changing the interest rate on the UDE values screen
C) by amending the UDE value on the Value Dated Amendment screen
D) by unlocking the loan account and changing the value on the Interest tab
3. Which statement is true about the Confirmation Tracer? (Choose the best answer)
A) His a reminder sent to a confirming bank, seeking a letter of confirmation.
B) ft is a reminder sent to a beneficiary, seeking a letter of confirmation.
C) it is a reminder sent to a reimbursing bank, seeking a letter of confirmation
D) it is a reminder sent to an issuing bank, seeking a letter of confirmation.
4. A Letter of Credit with tenor as sight stipulates that the reimbursement of bills submitted under this Letter of Credit can be claimed immediately after negotiation of documents.
Which SWIFT message is generated by the system for claiming this reimbursement? (Choose the best answer)
A) MT740
B) MT742
C) MT752
D) MT747
5. A bank would like to give the option of bill discounting to an exporter against 100 percent collateral in the form of deposits. On which tab of the contract screen would you input the collateral details9 (Choose the best answer.)
A) collateral
B) fields
C) settlement
D) linkages
Solutions:
| Question # 1 Answer: C | Question # 2 Answer: B | Question # 3 Answer: A | Question # 4 Answer: B | Question # 5 Answer: A |


