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HYPERION FINANCIAL MANAGEMENT DIMENSIONS

MANAGING APPLICATIONS
APPLICATION ADMINISTRATION
CREATING APPLICATION PROFILES
DEFINING CALENDARS
CREATING APPLICATIONS
WINDOWS PROCEDURE
WEB PROCEDURE
COPYING HYPERION FINANCIAL MANAGEMENT APPLICATIONS
MONITORING RUNNING TASKS
MANAGING APPLICATION SECURITY
CREATING SECURITY CLASSES
CREATING APPLICATION SECURITY FILES
HYPERION FINANCIAL MANAGEMENT USER ROLES
LOADING APPLICATION SECURITY
MANAGING METADATA
DEFINING ACCOUNTS
DEFINING ENTITY MEMBERS
DEFINING SCENARIO MEMBERS
DEFINING APPLICATION SETTINGS
DEFINING CONSOLIDATION METHODS
SETTING UP INTERCOMPANY PARTNERS
CREATING A DATA GRID
ADDING LINE ITEM DETAIL
CREATING MEMBER LIST FILES
JOURNAL ENTRIES IN ACCOUNTING
EXAMPLES OF JOURNAL ENTRIES
CALCULATING ACCOUNTING BALANCES
BALANCE SHEET AND INCOME STATEMENT
ADJUSTING JOURNAL ENTRIES
MANAGING JOURNALS
POSTINGS FROM MULTIPLE JOURNALS ARE CUMULATIVE
JOURNAL REVIEW PROCESS
MANAGING DATA FORMS
DEFINING REPORTS
CREATING A JOURNAL REPORT
MANAGING RULES
CALCULATION COMMANDS
HYPERION FINANCIAL MANAGEMENT OBJECTS
RULE FUNCTIONS
MANAGING INTERCOMPANY TRANSACTIONS
ELIMINATION PROCESS
PLUG ACCOUNTS
MANAGING INTERCOMPANY TRANSACTION PERIODS
BUSINESS PROCESS FOR THE INTERCOMPANY TRANSACTION MODULE
POSTING INTERCOMPANY TRANSACTIONS
MONITORING INTERCOMPANY TRANSACTIONS
CONSOLIDATING DATA
HYPERION FINANCIAL MANAGEMENT BUSINESS PROCESS OVERVIEW
CONSOLIDATION PROCESS
ABOUT CONSOLIDATION PERCENTAGES
ENTERING CONSOLIDATION INFORMATION USING OWNERSHIP MANAGEMENT
RUNNING CONSOLIDATIONS
TRANSLATING DATA IN DATA GRIDS
ENTERING EXCHANGE RATES
AUTOMATING TASKS
COMPONENTS OF A TASKFLOW
CREATING A TASKFLOW
STAGE DEFINITION GENERAL TAB
STAGE DEFINITION PROCESSING TAB
STAGE DEFINITION STARTING EVENT
BUDGETING AND FORECASTING
FINANCIAL REPORTING
ARCHITECTURE
FINANCIAL REPORTING COMPONENTS
STEPS TO SHARE THE REPORT
STEPS TO CREATE BATCH AND SCHEDULE THE REPORTS
SMART VIEW
STEPS TO ESTABLISH A DATA SOURCE CONNECTION