Your customer has some questions around the parameters that must be entered when running the prepayments process.
From which two work areas can you access the prepayment process? (Choose two.)
A. Payroll Checklist
B. Payment Distribution
C. Accounting Distribution
D. Payroll Calculating
You need to associate a worker to your customer's weekly payroll but the payroll field only displays values for the monthly and bi-weekly payrolls.
Which two issues are the source of the problem? (Choose two.)
A. You do not have the Manage Payroll Definition duty role
B. The weekly payroll has not been created in the worker's legislative data group
C. The weekly payroll has not been enabled for the worker's PSU
D. Your data role does not include a payroll security profile that includes the weekly payroll
A worker's check has been returned to the company as it is damaged. This must be recorded in the application. What action should they take?
A. Rollback the prepayment process for this employee.
B. Change the check payment status from paid to cancelled.
C. Change the check payment status from paid to void.
D. Delete the check payment payment result.
How can you delete a payroll flow pattern that has not been previously submitted?
A. Change the status of the flow pattern to be "Inactive" in Manage Flow Patterns. Then select "Delete" from the actions menu.
B. From Manage Payroll Flow Patterns task, search for your flow and select "Delete" from the actions menu.
C. You cannot delete flow patterns.
D. Ensure all tasks are deleted and then from Manage Payroll Flow Patterns task, search for your flow and select "Delete" from actions menu.
Your customer is running their weekly payroll, which includes a number of high-performing workers, who will be receiving a bonus. They want these workers to be able to view their payslip two days earlier than other workers on the weekly payroll.
What action should be taken to meet this requirement?
A. Using the payroll time definition, override the payslip availability date for the impacted workers.
B. It is not possible to override the payslip availability date for a subset of workers.
C. Navigate to the Document of Records (DOR) and override the payslip availability date for the impacted employees.
D. Create a payroll object group for the impacted workers and enter an overriding payslip availability date when submitting the payroll run.
You hire an employee on 01-JAN-2016. The employee is in the process of moving bank accounts and is yet to create a personal payment method.
How will the employee receive their payroll payment for the month of January?
A. They will be paid by check, because this is the default payment method on the employee's payroll.
B. The payment process will error and they will not receive payment for the month of January.
C. They won't receive payment until they have created a personal payment method.
D. A cash payment request will be sent to accounts payable, and the employee will be paid in cash.
You have a requirement for not processing an element entry based on a specific condition that will be evaluated during payroll run.
How should you achieve this?
A. You write a calculation formula with the condition so that the element is not processed when the condition is satisfied.
B. You cannot meet this requirement because once an element entry is created, it will be processed all the time.
C. You write a validation formula with the condition so that the element is not processed when the condition is satisfied.
D. You write a skip rule with the condition so that the element is not processed when the condition is satisfied.
You have a requirement to restrict the entry on an input value such that the entered value is greater than 30 but less than 50.
How do you achieve this?
A. Create a validation formula and attach it at the element eligibility level to validate the minimum and maximum of the input value at the time of entry.
B. Create a validation formula and attach it at the element level to validate the minimum and maximum of the input value at the time of entry.
C. In the element definition, enter minimum and maximum for the input value.
D. Create a validation formula and attach it at the element input value level to validate the minimum and maximum of the input value at the time of entry.
In order to load balance initialization data, you may load batch headers and batch lines into HCM Cloud using which two named methods? (Choose two.)
A. Using WebCenter Content to load the batch data by importing a text file and running the Load Batch from File process
B. Using the Payroll Batch Loader spreadsheet to manually enter batch data
C. Using the HCM Data Loader to create batch data
D. Using the Create New Balances for Employees task in Functional Setup Manager
You have a requirement to verify the costing results of a person in a particular payroll run.
In which three ways do you verify the costing results of a single person? (Choose three.)
A. You cannot view the costing results of a single person.
B. You can view the costing results from Statement of Earnings -> View Costing Results.
C. You can run the Payroll Costing Report for a single person.
D. You can use the OTBI - Payroll Run Costing Real Time subject area.