HFM Online Training

About HFM

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. Oracle Hyperion Financial Management provides financial consolidation and reporting that enables you to rapidly consolidate and report financial results, meet global regulatory requirements, reduce the cost of compliance, and deliver confidence in the numbers.

About Instructor

Hyperion Financial Management HFM Online Training is provided by a real time consultant. The experience acquired by our trainer on Hyperion HFM, is promisingly helpful to the corporate trainee’s. Our instructors are experts in the implementation of Hyperion Financial Management support projects. ASTS always works on real time scenario’s. It is extremely useful for the professionals to handle the projects easily in the IT industry.

Prerequisites

  • Graduates/Post Graduates are eligible.
  • Knowledge in Data Warehousing technologies.
  • Any technical background consultants are eligible to learn HFM Online Training.

Terms And Conditions

  • We will Provide Supporting to resolve Student practical Issues.
  • We will provide server Access and 100% Lab Facility.
  • Resume Preparation.
  • Interview Questions & Answers.
  • We will conduct mock interviews. Student also gets 100% supporting before and after getting job.

Course Content

INTRODUCTION Financial Management Architecture

  • Infrastructure
  • Hyperion Financial Management Basic Concepts
  • Installation
  • Oracle 10g
  • Schemas
  • Shared Services
  • HFM
  • HFR

Functional

  • Introduction to Financial Management
  • 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 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

  • 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

Managing the Review Cycle using Process Mgmt

  • Process Control & Process Unit
  • Process Control Security Roles
  • Enabling Process Control & Phased Submission
  • Locking & Unlocking Process Unit

Creating Data Grids

  • About Data grids &Accessing DG
  • Changing Grid Layout & Display setting
  • Seleting Member
  • Saving Grid Setting
  • Entering data & filling multiple cell
  • Spreading &Calculating Data
  • Add Text cell & Line Item Detail
  • Entering Exchange Rates

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
  • Sub cubes, Data Retrieval, and Rules
  • Loading and Extracting Rules

 

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