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HYPERION FINANCIAL MANAGEMENTTraining Overview Introduction • About Enterprise Performance Management HFM Basics • Dimensions • Define Application Profile • Create application Loading Metadata from a File • About Metadata Load Files • Loading Metadata • Manage Metadata • Prepare own Metadata Configuring Accounts and Custom Dimensions • About Accounts and Custom Dimensions • Setting Up Account Types and Hierarchies • Setting up Accounts and Custom Dimensions • Intercompany Account and Other Account Properties Setting up Entities, Calendars, and Scenarios • Setting up Entities • Setting up Calendars • Setting up Scenarios Loading Data • Loading Data Files • Extracting Data • Copying and Removing Data Creating Tasklist and 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 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 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 and process management • Consolidation Process and Percentages • Entering Consolidation Information Using Ownership Management • Running Consolidations • Checking Consolidation Status • Data Translation • Entering Exchange Rates Analyzing Data Using Smart View • About Smart View • Smart View Installation and Components • Connecting to a Data Source • Entering Data with Web Data Forms • Functions in Smart View Rule • 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