CorptechIT provides Online Training by experienced IT professionals. Our faculties dedicated to complete your course as per the schedule given. We record the class from your end to refer the classes once again whenever is required. Hyperion Strategic Finance Online Training being a really important module, we have taken precise steps in teaching a full-fledged Hyperion Strategic Finance Online Training course curriculum that covers all the concepts. Our customer support team and trainers will solve all your queries as and when required. Hyperion Strategic Finance Online Training has got the right training that can fulfill a candidate’s training expectations. We see to that the value and quality of our Hyperion Strategic Finance Online Training will not be compromised at all. We will market your resume in USA, UK, SINGAPORE, NEWZELAND, CANADA, AUSTRALIA, JAPAN, SWEDEN, and SOUTH AFRICA. We clarify your questions during the training even after the course completion. After completion of training in Hyperion Strategic Finance we will help you to assist you to get certified on Hyperion Strategic Finance. We will give you 100% Satisfaction.
Hyperion Strategic Finance Online Training Course Content
Hyperion Strategic Finance Online Training Content (Only Development)
- Hyperion Strategic Finance
- Hyperion Strategic Finance (Only Development)
Introduction to Strategic Finance
- Describe the features of Strategic Finance
- Describe the product architecture
- Identify different tabs in Strategic Finance
- Identify components in a Strategic Finance worksheet
- Create a model
- Enter summary information
- Check out and open an entity
Customizing the Account Structure
- Account Number Structure
- Maintaining Subaccounts
- Creating User-Defined Accounts
- Identifying Where Used Accounts are Used
- Finding Accounts
- Account Groups
- Copying Accounts
- Adding Cell Text Notes
Customizing the Time Structure
- Time Period Overview
- Maintaining Time Periods
- Adding Time Period Details
- Creating Custom Time Periods
- Adding, Moving, and Deleting Deal Periods
- Changing Fiscal Year End For an Entity
Modeling Historical Data
- Modeling History
- Setting the Default Currency
- Recalculating Scenarios
- Suppressing Error Messages for Out-of-Balance Funds Flow Statements
- Analyzing Calculations
Forecasting Data
- Forecasting Data Overview
- Creating Structured Forecasts
- Creating Free-form Forecasts
- Creating Free-form Formulas
- Forecasting Interest
- Forecasting Fixed Assets
Perform Funding Analysis
- Historical Retained Earnings
- Forecasted Retained Earnings
- Default Funding Account: Excess Cash Situation
- Default Funding Account: Cash Deficit
- Setting Up Funding Routines
- Setting Up Target Capital Structure Funding Routines
Performing What-If Analysis
- About What-If Analyses
- Creating Scenarios
- Performing Sensitivity Analyses
- Setting Goals
- Crystal Ball
Performing Valuation Analysis
- About Valuation Reports
- Creating Shareholder Value Reports
- Creating Dividend Discount Reports
- Creating Economic Profit Reports
- Selecting Other Valuation Inputs
Scheduling Debt
- About Debt Scheduler
- Debt-Scheduling Guidelines
- Accessing Debt Scheduler
- Creating Debt Schedules
Creating and Managing Consolidations
- About Consolidations
- Creating Server Consolidation Structures
- Specifying Consolidation Scenarios
- Creating Local Consolidation Structures
- Specifying Entity Characteristics
- Labeling Consolidations
Analyzing Mergers and Acquisitions
- About Mergers and Acquisition Analysis
- Modeling Methods
- Related .02. Accounts
- Deal Accounts
- Inserting a Deal Period
Generating and Managing Reports
- About Reporting Tools
- Customizing Standard Reports
- Creating Free-Style Reports
- Managing Reports
- Viewing Cell Properties
- Printing Reports and Account Information
Managing Data
- Exporting Reports to Excel
- Creating Excel Import and Export Maps
- Importing Excel Batches
- Importing Data from Other Hyperion Applications
- Importing Batches from Other Hyperion Applications
- Integrating with FDM
- Creating Strategic Finance Links
- Translating Currencies
Managing Entities
- About Connecting to the Server and Database
- Opening Entities
- Accessing Archived Entities
- Saving and Opening Drafts of Entities
- Entity Change Management
- Entity Change Manager Process
- Assumptions Change Manager
- Assumptions Change Manager Process
Setting Up Security and Administration
- Security and Administration
- Setting Up Security Providers
- Adding and Provisioning User and User Groups
- Creating Databases
- Assigning Access to Databases
- Assigning Access to Entities
- Adding Entity Groups
- Pre-configuring Access for New Entities