Hannah Dearman
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Information Technology Quiz sobre ERP Consultant Exam Prep - Fundamentals, criado por Hannah Dearman em 16-02-2022.

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ERP Consultant Exam Prep - Fundamentals

Questão 1 de 41

1

What is the functionality behind the 'Multiple Prices' feature?

(Sales and Billing Features)

Selecione uma das seguintes:

  • Allows users to add multiple prices for one item on a transaction

  • Gives the ability to setup a default price level per customer for item

  • Gives users the chance to change an item cost last minute

Explicação

Questão 2 de 41

1

Who can confirm the enabling of the sales and billing features?

(Sales and Billing Features)

Selecione uma das seguintes:

  • Purchasing Manager

  • Administrator

  • Book keeper of Accounts

Explicação

Questão 3 de 41

1

What is the functionality behind the 'Quantity Pricing' feature?

(Sales and Billing Features)

Selecione uma das seguintes:

  • With this feature enabled you can add price levels by quantity and offer a discounted rate.

  • You can not add quantity price levels which has been set as a feature by default.

  • Quantity pricing allows costs to be easily added together by staff members.

Explicação

Questão 4 de 41

1

Which costing methods are using in NetSuite?

Selecione uma ou mais das seguintes:

  • FIFO

  • LIFO

  • Average

  • Standard

  • Group Average

  • Grouping

  • Schedules

Explicação

Questão 5 de 41

1

Which item type should be used for items such as Software?

Selecione uma das seguintes:

  • Kit

  • Assembly/Group

  • Inventory Item

  • Non-Inventory Item

Explicação

Questão 6 de 41

1

You should plan costing methods prior to creating items as once the item has been setup with a costing method, it can NOT be changed?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 7 de 41

1

Customers who sell physical inventory should utilize units of measure to provide greater flexibility and accuracy when tracking and selling inventory items?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 8 de 41

1

What does it mean to define an Item Strategy?

Selecione uma ou mais das seguintes:

  • It is the process of ensuring you have selected the correct item record types, pricing strategies and units of measure, usually prior to using the Item Master.

  • It is the process of deciding which items should be Kit or Assembly based on the different item types and pricing strategies.

  • To strategically define items in your own context.

Explicação

Questão 9 de 41

1

Item Master - what are the best practices? - 3 answers.

Selecione uma ou mais das seguintes:

  • For software or services companies that do not track inventory in NetSuite, always add the fulfillment step, even if you don't need to track fulfillments for reporting purposes.

  • For software or services companies that do not track their Inventory in NetSuite, add the fulfillment step but only when there is a need to track fulfillment for reporting purposes.

  • Set the "Can be Fulfilled / Received" preference for an item whenever tracking fulfillments.

  • While designing the Item Master, create items so that there is minimal need to override the default Billing and Amortization scheduled once the items are added to the transactions.

Explicação

Questão 10 de 41

1

What should the Executive Team and Managers consider when defining the item strategy?

Selecione uma ou mais das seguintes:

  • G/L Accounts (Income, Deferred Revenue, Expenses.

  • Item types (i.e. assembly, kit or group items)

  • Inventory item types only

  • Item configurations

Explicação

Questão 11 de 41

1

Where can I go to setup the default accounts in NetSuite?

(Accounting Preferences, Items/Transactions)

Selecione uma das seguintes:

  • Customization -> Setup -> Accounting -> Accounting Preferences

  • Customization -> Enable Features -> Accounting -> Items

Explicação

Questão 12 de 41

1

The preference "Centralize Purchasing In A Single Warehouse" found under Accounting Preferences works by consolidating purchasing into one location or multiple locations. If you check the box you WON'T receive all stock in one warehouse.

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 13 de 41

1

Selecione da lista do Menu para completar o texto.

In order to set the default Inventory Costing Method, we can go to ( Setup, Customize, Lists -> Inventory -> Inventory List ) -> Accounting -> Accounting Preferences -> Cost Accounting -> Inventory Costing Method

Explicação

Questão 14 de 41

1

An account register lists all the transactions impacting that account, and the total balance, for the reporting period selected?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 15 de 41

1

Which 3 roles can VIEW Account Registers?

(Chart of Accounts)

Selecione uma ou mais das seguintes:

  • Bookkeeper

  • Accountant

  • Finance Leader

  • Business Analyst

Explicação

Questão 16 de 41

1

Your Chart of Accounts provides a destination for posting transactions and categorizes these transactions for tracking and reporting purposes.

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 17 de 41

1

Which 2 roles can create Financial or Non-Financial (Statistical) accounts?

(Chart of Accounts)

Selecione uma ou mais das seguintes:

  • Accountant

  • Finance Leader

  • Bookkeeper

  • Business Analyst

Explicação

Questão 18 de 41

1

When selecting the Account Type when setting up a Chart of Account, the General Rate Type is auto-populated based on the Account Type choice. Can this be changed?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 19 de 41

1

For Chart of Accounts: If one or more subsidiaries are selected, then the account can only be selected for records and transactions associated with those subsidiaries. True or false?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 20 de 41

1

For Chart of Accounts: If a subsidiary is selected, then transactions do NOT post to the account. It is used for reporting purposes only. True or false?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 21 de 41

1

More than one subsidiary can be selected for the Account Chart of Accounts?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 22 de 41

1

How do you set up automatic bank reconciliation for Chart of Accounts?

Selecione uma das seguintes:

  • Select the appropriate Standing Order Saved Search

  • Select the 'Automate Bank Reconciliation' field and mark as true

  • Uncheck the 'Automate Bank Reconciliation' field so it is marked false

  • It is done automatically for you.

Explicação

Questão 23 de 41

1

If the top-level parent subsidiary is selected and the 'Include Children' checkbox is checked, then all subsidiaries can access the account on the Chart of Accounts?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 24 de 41

1

How would you make an Account for Chart of Accounts record solely for reporting purposes?

Selecione uma das seguintes:

  • Check the Summary checkbox

  • Check the Eliminate Intercompany Transactions

  • Check the Revalue Open Balance for Foreign Currency Transactions

Explicação

Questão 25 de 41

1

For Chart of Accounts - how can we ensure an account is selected for open balance currency revaluation?

Selecione uma ou mais das seguintes:

  • Check the Revalue Open Balance for Foreign Currency Transactions box

  • Select a Cash Flow Rate Type option

  • Check the Use Confirm Transaction Matches and Reconcile Account Statement Pages

Explicação

Questão 26 de 41

1

Custom Segments can be used for reporting purposes and go beyond reporting for just the main three custom segments in NetSuite - Department, Location and Class).

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 27 de 41

1

Selecione das listas do Menu para completar o texto.

In order to create a custom segment you would need to go to:

( ..., Setup, Company ) -> ( ..., Enable Features, List, Records & Fields, Preferences ) > ( ..., Custom Segments, Order Management, Transactions ) -> ( ..., New )

Explicação

Questão 28 de 41

1

Which of the following seven options are Account types in NetSuite?

Selecione uma ou mais das seguintes:

  • Accounts Receivable (Asset/Debit)

  • Accounts Payable (Liability/Credit)

  • Other Non-Current Assest (Asset/Debit)

  • Other Asset (Asset/Debit)

  • Costs of Goods Sold (Expense/Debit)

  • Credit Card (Liability/Credit)

  • Equity (Expense/Debit)

  • Bank Type (Asset/Debit)

  • Unbilled Receivable (Asset/Debit)

  • Other Mutual Assets (Asset/Debit)

Explicação

Questão 29 de 41

1

Bank accounts and credit card accounts are NOT restricted to one subsidiary in NetSuite OneWorld?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 30 de 41

1

Which of the following two are the correct statements?

Selecione uma ou mais das seguintes:

  • Accounts Receivable type will reflect in AR Aging reports.

  • Accounts Receivable type will NOT reflect in AR Aging reports.

  • Accounts Payable type will reflect in AP Aging reports.

  • Accounts Payable type will NOT reflect in AP Aging reports.

Explicação

Questão 31 de 41

1

Duplicate account names are not allowed in NetSuite?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 32 de 41

1

Subsidiaries are NOT separate, legal entities for the purposes of taxation and regulation.

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 33 de 41

1

NetSuite Editions are defined on the subsidiary record. Each edition handles country specific taxes (sales and purchases).

Which of these are specific to NetSuite United States (US) - choose 3.

Selecione uma ou mais das seguintes:

  • Pre-coded tax (State tax imports required)

  • Pre-coded tax (State tax imports NOT required)

  • Separate tax reporting periods

  • No separate tax reporting periods

  • No Foreign trade settling

  • Foreign trade settling

Explicação

Questão 34 de 41

1

NetSuite Editions are defined on the subsidiary record. Each edition handles country specific taxes (sales and purchases).

Which of these are specific to NetSuite Canada (CA) - choose 3.

Selecione uma ou mais das seguintes:

  • Pre-coded tax, State tax imports required

  • Pre-coded tax, GST/PST

  • No separate tax reporting periods

  • Foreign trade settling

  • No Foreign trade settling

Explicação

Questão 35 de 41

1

NetSuite Editions are defined on the subsidiary record. Each edition handles country specific taxes (sales and purchases).

Which of these are specific to NetSuite United Kingdom (UK) - choose 3.

Selecione uma ou mais das seguintes:

  • Pre-coded tax, tax imports required

  • Pre-coded tax, GST/PST

  • Separate tax reporting periods, provides full EU reporting

  • Separate tax reporting periods, does not provide full EU reporting

  • Foreign trade settling

Explicação

Questão 36 de 41

1

NetSuite Editions are defined on the subsidiary record. Each edition handles country specific taxes (sales and purchases).

Which of these are specific to NetSuite Japan (JP) - choose 2.

Selecione uma ou mais das seguintes:

  • Pre-coded tax, consumption tax

  • Pre-coded tax, GST/PST

  • Separate tax reporting periods, foreign trade settling

  • Separate tax reporting periods

Explicação

Questão 37 de 41

1

NetSuite Editions are defined on the subsidiary record. Each edition handles country specific taxes (sales and purchases).

Which of these are specific to NetSuite Australia (AU) - choose 2.

Selecione uma ou mais das seguintes:

  • Pre-coded tax, consumption tax

  • Pre-coded tax, GST only

  • Pre-coded tax, GST/PST

  • Separate tax reporting periods, foreign trade settling

Explicação

Questão 38 de 41

1

NetSuite Editions are defined on the subsidiary record. Each edition handles country specific taxes (sales and purchases).

Which of these are specific to NetSuite International (XX) - choose 3

Selecione uma ou mais das seguintes:

  • No pre-coded tax - install bundle to configure

  • No pre-coded tax - upload CSV for configuration

  • Separate tax reporting periods

  • Foreign trade settling

Explicação

Questão 39 de 41

1

How many subsidiary records, in addition to the root subsidiary counting as an extra 1 record, can be created?

Selecione uma das seguintes:

  • 249

  • 248

  • 250

  • 251

Explicação

Questão 40 de 41

1

Root company may have many parent and child subsidiaries?

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação

Questão 41 de 41

1

One Subsidiary is created for each separate reporting legal entity

Selecione uma das opções:

  • VERDADEIRO
  • FALSO

Explicação