Format: Multiple Choice
Duration: 120 Minutes
Number of Questions: 75
Passing Score: 55%
Validation: This exam has been validated against NetSuite Release 23.1
Earn associated certifications
Passing this exam is required to earn these certifications. Select each
certification title below to view full requirements.
Oracle NetSuite Certified ERP Consultant Professional
Prepare to pass exam: N16302GC10
The Oracle NetSuite ERP Consultant Professional exam validates advanced
knowledge of NetSuite across financials, analytics, multi-subsidiary
environments, platform capabilities, and security. It confirms a deep
understanding of leading implementations, guiding best practices, and advising
on workflows, scripting, and integrations.
This exam is designed for candidates with 1 - 2 years of NetSuite experience.
Take recommended training
Complete one of the courses below to prepare for your exam (optional):
Oracle NetSuite ERP Consultant Professional
Additional Preparation and Information
A combination of Oracle training and hands-on experience (attained via labs
and/or field experience), in the learning subscription, provides the best
preparation for passing the exam.
Review exam topics
The following table lists the exam objectives and their weightings.
Objectives % of Exam
Record to Report 18%
Order to Cash 18%
Design to Build 16%
Procure to Pay 9%
Analytics and Dashboard 10%
Platform 13%
Data Strategy 8%
Data Security 8%
Record to Report
Identify the Features and Preferences which need to be configured to support a
customer specific requirement
Identify the Best Practices of setting up the NetSuite Chart of Accounts
Identify how NetSuite Segments are handled in NetSuite, and when to use custom
segments
Recognize NetSuite recommended Best Practices around period end close, including
when Multi-Book is used
Identify the constraints of features and functionality related to Journal
Entries
Identify how exchange rates are used throughout NetSuite
Identify how NetSuite taxes are configured
Order to Cash
Identify considerations when setting up related Entity records
Given a requirement, determine the configuration/solution for an order process
Identify the implications of shipping setup and use
Determine the considerations for setup and execution of the fulfillment process
Given a scenario, determine appropriate invoicing configuration and setup and
when consolidated invoicing feature is appropriate
Understand the different components of the ARM or Basic Rev Rec module and be
able to set it up to adapt to the recognition method elected by the user
Identify recommended practices for customer payment setup and processing
Given a requirement, determine the configuration/solution for a customer return
process
Design to Build
Select the appropriate Item Type for a given use case
Given a scenario, determine appropriate inventory management options
Identify the transactions and records related to building Assemblies
Identify options in pricing
Recognize how various settings and transactions affect item costing
Procure to Pay
Given a requirement, determine the configuration/solution for a purchase and
receiving process
Given a requirement, determine the configuration/solution for a Vendor Bill,
Bill Payments
Given a requirement, determine the configuration/solution for a vendor return
process
Recognize the elements in configuring the Fixed Assets Module
Analytics and Dashboard
Given a scenario, select the appropriate Dashboard portlet content
Recognize which SQL expressions will yield desired search results (CASE, DECODE,
NULLIF, Date functions)
Identify configuration options available when customizing email alerts for saved
searches
Using Expression Builder, select the expression which would yield the desired
results
Recognize which record to use as the basis of a search to yield a desired result
Identify the feature in saved searches to obtain the described results
Given a scenario, determine whether to use a custom search or a report ?
Identify the advantages of various methods of publishing dashboards
Platform
Given a situation identify a whether a Suitescript or SuiteFlow required to meet
a customer requirement
Identify components of the workflow in a diagram
Recognize available SuiteFlow actions
Compare differences between custom form & field display options and use cases
where appropriate
Identify various methods of restricting users to a particular custom form
Given a custom form layout requirement, determine which feature(s) should be
used, including Advanced PDF
Given a situation identify when to use SuiteBundler
Identify custom field settings for displaying data from other records
Recognize NetSuite recommended practices for creation and use of custom fields
Identify implications of changing field properties or values in a live
environment
Data Strategy
Determine the proper use of advanced options in CSV Import
Understand use of CSV templates and saved mappings
Analyze an error in the CSV Import process to determine the appropriate
resolution
Given a customer requirement, determine migration strategy for transaction
history and opening balances and inventory counts
Organize the steps required to successfully complete an import of CSV records
and sublist data
Data Security
Identify the implications of permissions related to accessing and
manipulating data in bulk
Recognize recommended NetSuite practices for creating and assigning custom roles
Examkingdom Oracle N16302GC10 Exam pdf

Best Oracle
N16302GC10 Downloads,
Oracle
N16302GC10 Dumps at Certkingdom.com
Sample Question and Answers
QUESTION 1
A company purchased and received 100 chairs for a conference room. Four of
the chairs were the wrong style and must be returned.
What steps are performed after approving the Vendor Return Authorization?
A. Shipping the Return > Close Return
B. Shipping the Return > Crediting the Return
C. Shipping the Return > Create a Journal Entry
D. Shipping the Return > Mark Shipped on the Return Authorization
Answer: D
Explanation:
QUESTION 2
Which statement is true about Drop Ship and Special Order items?
A. Can be used for Non-Inventory items for Resale and Inventory items.
B. Items can be marked as both Drop Ship and Special Order.
C. Vendor ships items to customers address.
D. Impact Asset and Cost of Goods Sold (COGS) accounts upon item receipt and
fulfillment.
Answer: C
QUESTION 3
Which is valid permission level for Persist Search?
A. Create
B. View
C. Edit
D. Full
Answer: A
QUESTION 4
A company would like to add the same disclaimer message that prints in the
footer of its PDF Invoices.
Which action should the Administrator take?
A. Edit the custom Invoice form and enter the message in the Disclaimer field.
B. Enter the disclaimer message in the Sales Form Memo field.
C. Edit the custom Invoice form and change the Printing Type to Advanced.
D. Create a custom Disclaimer field on the customized Invoice form and enter the
message.
Answer: B
QUESTION 5
Which task can a user role with the Override Period Restriction permission
perform?
A. Post to a locked period.
B. Post to neither closed nor a locked period.
C. Post to a closed period.
D. Post to both a closed and/or a locked period.
Answer: C
No comments:
Post a Comment