Oracle 1z0-1107-2 Question Answer
Your organization has decided to use specific business days for which the transactions should be considered in the cash positioning report. Which calendar would you assign to achieve this requirement on the Specify Cash Positioning and Forecast Options page? (Choose the best Answer.)
Oracle 1z0-1107-2 Summary
- Vendor: Oracle
- Product: 1z0-1107-2
- Update on: Jul 20, 2025
- Questions: 47