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Oracle Hyperion Financial Management - Create & Manage Applications

This Oracle Hyperion Financial Management - Create & Manage Applications training teaches you how to create and manage applications using Financial Management. Expert instructors will take you through the process of creating an application, entering data and adjusting and viewing data using data grids and data forms. Create accounts, entities, scenarios and custom dimensions. Import and export data and metadata. Create and deploy an application. Enter data in data forms and data grids. Enter intercompany data. Perform data consolidation. Create application metadata. Deploy applications. Load data from external systems. Secure data. Translate and consolidate data. Manage the review process. Drive your organization's efficiencies, manage risk and drive sustainable growth.

Course Contents:

Introduction to Financial Management

  • About Oracle's Enterprise Performance Management Suite
  • Financial Management Solution
  • Financial Consolidation, Reporting, Analysis and Product Components
  • Financial Management Architecture

Navigating in Financial Management

  • Logging On to Workspace
  • Financial Management Applications Overview
  • Opening Applications
  • Navigating Financial Management
  • Managing Documents

Managing Dimensions with Performance Management Architect

  • Dimension Library
  • Creating Dimensions
  • Creating Dimension Members
  • Property Value Inheritance
  • Creating Alternate Hierarchies
  • Managing Members
  • Working with Grid Editor
  • Setting Up Languages

Importing Dimensions 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

Creating and Deploying Applications

  • Creating Applications
  • Working with Local and Shared Dimensions
  • Configuring Application Settings
  • Deploying Application Process
  • Validating Applications
  • Deploying Applications
  • Viewing Job Status
  • Lifecycle Management Overview

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

Loading Data

  • Formatting Data Load Files
  • Loading Data Files
  • Extracting Data
  • Exporting Data with Extended Analytics
  • Copying and Removing Data

Entering Data Using Data Grids

  • Accessing Data Grids
  • Changing the Grid Layout and Display
  • 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
  • Loading and Extracting Member Lists

Managing Rules With Calculation Manager

  • Calculation Manager Overview
  • Creating Formulas
  • Creating Rules
  • Creating Rule Sets
  • Deploying Rules
  • Importing and Exporting Calculation Manager Objects

Setting Up Security

  • About Levels of Security
  • Provisioning User and Group Security
  • Application Settings for Security
  • Data Access and Document Access
  • Assigning Access to Security Classes
  • Running Security Reports
  • Loading and Extracting Security

Creating Data Forms

  • About Data Forms
  • Accessing the Form Builder
  • Defining the Point of View
  • Defining Columns and Rows
  • Formatting Columns and Rows
  • Exporting Data to Spreadsheets

Managing Task Lists

  • About Task Lists
  • Creating Task Lists
  • Adding Items to Task Lists
  • Organizing Task List Items

Entering Intercompany Data

  • Intercompany Transactions Overview
  • Intercompany Elimination Process
  • Setting Up Entities and Accounts for Intercompany Data
  • Creating and Running Intercompany Matching Reports
  • Formatting Intercompany Reports with Oracle BI Publisher

Adjusting Data with Journals

  • Journals Overview
  • Opening Periods for Journal Entry
  • Setting the Point of View
  • Journal Balance Types
  • Creating Journal Templates and journals
  • Entering Journal Data
  • Managing the Journals Review Process
  • Creating and Running Journal Reports

Translating Data

  • Data Translation Overview
  • Entering Exchange Rates
  • Checking Translation Status
  • Translating Data in Data Grids
  • Custom Translations Overview

Running Consolidations

  • Consolidation Process Overview
  • Managing Ownership Percentages
  • Checking Consolidation Status
  • Consolidating Data
  • Setting Up Organization by Period

Managing the Review Cycle Using Process Management

  • Process Management Overview
  • Enabling Process Management
  • Managing Phased Submission
  • Viewing Process Units
  • Validating Process Units
  • Moving Process Units Through the Review Cycle
  • Locking and Unlocking Data

Sharing Data Using Data Synchronization

  • Data Synchronization Overview
  • Creating Mapping Tables
  • Creating Data Synchronizations
  • Filtering and Mapping Dimensions
  • Viewing Data Flows
  • Scheduling and Running Data Synchronizations

Analyzing Data Using Smart View

  • Smart View Overview
  • Connecting to a Data Source
  • Viewing Data with the Ad Hoc Analysis Tool
  • Displaying Cell Text and Calculation Status
  • Creating Free-Form Worksheets
  • Entering Data by Using Data Forms
  • Calculating, Translating, and Consolidating Data in Smart View
  • Functions in Smart View

United Global Soft Key Features

Expert Instructors

Practical Implementation

Real- time Case Studies

Certification Guidance

Resume Preparation

Placement Assistance

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