Hyperion Financial Management Course Content:35-40hours

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Hyperion Financial Management Course Content:35-40hours Course Outline Introduction to Financial Management About Enterprise Performance Management Financial Management Solution Financial Consolidation, Reporting, Analysis and Product Components Financial Management Architecture Navigating in Financial Management Financial Management Components About Workspace and Workspace Navigation Metadata and Dimensions Setting the Point of View Managing Dimensions with BPM Architect BPM Architect Dimension Library Adding Dimensions to Master View Creating Dimension Members Property Value Inheritance Creating Alternate Hierarchies Managing Members Creating Associations Between Dimensions Setting Up Languages Loading Metadata from a File About Metadata Load Files Formatting Metadata Load Files Setting Up Dimensions Managing Languages Loading Metadata Viewing Job Status

Loading Metadata with Interface Tables Configuring Accounts and Custom Dimensions About Accounts and Custom Dimensions Setting Up Account Types and Hierarchies Setting Up Accounts and Custom Dimensions Auditing Account Data Intercompany Account and Other Account Properties Setting Up Entities, Calendars, and Scenarios Setting up Entities Setting Up Calendars Setting Up Scenarios Creating Application Views and Deploying Applications Creating Application Views Configuring Application Settings Setting Document Attachment Limits Configuring Hyperion FDM Drill Downs Deploying Application Process Comparing and Validating Application Views Deploying Application Views Viewing Job Status Loading Data Data Load Files Line-Item Detail Section Changing Column Order Loading Data Files Extracting Data Exporting Data with Extended Analytics Copying and Removing Data Rule Basics About Rules and Rules Syntax Rule Types and Rules Files Objects and Functions in Rules Assigning Values to Accounts Account Expressions Setting Values for Multiple Accounts

Subcubes, Data Retrieval, and Rules Loading and Extracting Rules Entering Data Using Data Grids About Data Grids and Accessing Data Grids Changing the Grid Layout and Display Selecting Members for Dimensions Selecting Members Saving Grid Settings Entering Data and Filling Multiple Cells Spreading and Calculating Data Adding Cell Text and Line-Item Detail Creating Member Lists in Financial Management About Member Lists System and User-Defined Member Lists Creating Member Lists Identifying Member Lists in a File Creating Static Member Lists Creating Dynamic Member Lists for the Entity Dimension and Other Dimensions Loading and Extracting Member Lists Provisioning Users and Groups About Levels of Security Provisioning User and Group Security Assigning Access to Data and Documents Application Settings for Security Data Access and Document Access Security Classes Assigning Access to Security Classes Running Security Reports Security Load Files Loading and Extracting Security Creating Data Forms About Data Forms Accessing the Form Builder Defining the Point of View Defining Columns and Rows

Setting Row and Column Options Exporting Data to Spreadsheets Creating Task Lists in Financial Management About Task Lists Creating Task Lists Adding Items to Task Lists Organizing Task List Items Managing Task Lists Entering Intercompany Data About Intercompany Transactions Intercompany Account Balances Elimination Process Plug Accounts Intercompany Eliminations and the Value Dimension Setting Up Entities and Accounts for Intercompany Data Creating and Running Intercompany Matching Reports Adjusting Data with Journals About Journals and Journal Benefits and Adjusting Data Journals Review Process and the Value Dimension Multiple Journal Postings, Accessing Journals and Opening Periods for Journal Entry Creating Journal Templates and Journal Balance Types Creating Journals and Entering Journal Data Creating, Previewing, Running and Viewing Adjustments with the Entity Details Report Setting Journal Report Properties and Selecting Columns and Filters Saving Journal Reports Locally and Remotely Running Consolidations Consolidation Process and Percentages Entering Consolidation Information Using Ownership Management Running Consolidations Checking Consolidation Status Data Translation Entering Exchange Rates Organization by Period Setting Up Organization by Period

Managing the Review Cycle Using Process Management About Process Control: Process Units and Process States Process Control Security Roles Enabling Process Control and Phased Submissions Accessing Process Units and Viewing Unit Status Process Control Panel Display Options Process Unit Validation and Validation Accounts Review Cycle and Review History Locking and Unlocking Data Sharing Data Using Data Synchronization About Data Synchronization Creating Mapping Tables Creating Data Synchronizations Filtering and Mapping Dimensions Viewing Data Flows Scheduling and Running Data Synchronizations Analyzing Data Using Smart View About Smart View Smart View Installation and Components Connecting to a Data Source About the Ad Hoc Analysis Tool: Adding Formulas and Formatting Creating Free-Form Worksheets Entering Data with Web Data Forms Functions in Smart View