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For more details please contact:-Phone:-+91–8123930940.over view:Hyperion Financial Management Training, Hyperion is a Business Intelligence [BI] and Business Performance Management [BPM] tool for Operational and Strategic Planning. Oracle Hyperion Financial Management is a comprehensive, Web-based application that delivers global financial consolidation, reporting and analysis in a single, highly scalable software solution. Oracle Hyperion Financial Management utilizes today’s most advanced technology, yet is built to be owned and maintained by the enterprise’s finance team.course content:Hyperion Financial Management Online Training Course content1. Introduction to Financial ManagementAbout Enterprise Performance Management2. HFM BasicsDimensionsDefine Application ProfileCreate application3. Loading Metadata from a FileAbout Metadata Load FilesLoading MetadataManage MetadataPrepare own Metadata4. Configuring Accounts and Custom DimensionsMetadata About Accounts and Custom DimensionsSetting Up Account Types and HierarchiesSetting Up Accounts and Custom DimensionsIntercompany Account and Other Account Properties5. Setting Up Entities, Calendars, and ScenariosSetting up EntitiesSetting Up CalendarsSetting Up Scenarios6. Loading DataLoading Data FilesExtracting DataCopying and Removing Data7. Creating Tasklist and Data FormsAbout Data FormsAccessing the Form BuilderDefining the Point of ViewDefining Columns and RowsSetting Row and Column OptionsExporting Data to Spreadsheets8. Entering Data Using Data GridsAbout Data Grids and Accessing Data GridsChanging the Grid Layout and DisplaySelecting Members for DimensionsSelecting MembersSaving Grid SettingsEntering Data and Filling Multiple CellsSpreading and Calculating DataAdding Cell Text and Line-Item Detail9. Creating Member Lists in Financial ManagementAbout Member ListsSystem and User-Defined Member ListsCreating Member ListsIdentifying Member Lists in a FileCreating Static Member ListsCreating Dynamic Member Lists for the Entity Dimension and Other DimensionsLoading and Extracting Member Lists10. Entering Intercompany DataAbout Intercompany TransactionsIntercompany Account BalancesElimination ProcessPlug AccountsIntercompany Eliminations and the Value DimensionSetting Up Entities and Accounts for Intercompany DataCreating and Running Intercompany Matching Reports11. Adjusting Data with JournalsJournals Review Process and the Value DimensionCreating Journal Templates and Journal Balance TypesCreating Journals and Entering Journal DataCreating, Previewing, Running and Viewing Adjustments with the Entity Details ReportSetting Journal Report Properties and Selecting Columns and FiltersSaving Journal Reports Locally and Remotely12. Running Consolidations and process managementConsolidation Process and PercentagesEntering Consolidation Information Using Ownership ManagementRunning ConsolidationsChecking Consolidation StatusData TranslationEntering Exchange Rates13. Analyzing Data Using Smart ViewAbout Smart ViewSmart View Installation and ComponentsConnecting to a Data SourceEntering Data with Web Data FormsFunctions in Smart View14. RulesAbout Rules and Rules SyntaxRule Types and Rules FilesObjects and Functions in RulesAssigning Values to AccountsAccount ExpressionsSetting Values for Multiple AccountsSubcubes, Data Retrieval, and RulesLoading and Extracting Rules

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