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Hyperion Financial Management9.3 Administrator I&II : 1z0-271 Exam
Exam Number: 1Z0-271
Associated Certifications: Hyperion Financial Management 9.3 Administrator I & II
Exam Price: $125 US
Exam Registration: Register
Duration: 105 minutes
Number of Questions: 89
Passing Score: 69%
Recommended Training and Preparation
Hyperion Financial Management 9.3: Create & Manage Applications
Hyperion Financial Reporting 9.3 for Financial Management
Additional Information & Resources
Exam Retake Policy
Sample Questions
Exam Topics
Introduction
Introduction to Hyperion Financial Management
[ ]
Describe the main features of Hyperion Financial Management
[ ]
List the products bundled with Hyperion Financial Management
[ ]
Describe the product architecture of Hyperion Financial Management.
[ ]
List related Hyperion products
Navigating in Hyperion Financial Management
[ ]
Describe the User Interface components
[ ]
Access Financial Management through the System 9 Workspace.
[ ]
Select dimension members using the Point of View (POV) Selector
[ ]
Attach Documents to grid and data entry form cells
[ ]
Describe the difference between Basic and Advanced User modes
[ ]
Describe the business process (tasks) in a typical monthly reporting financial cycle
[ ]
Describe dimensions and dimension hierarchies
[ ]
Log on to Hyperion Financial Management Web and Windows Clients
Creating the Application Structure
Managing Dimensions with BPM Architect
[ ]
Describe BPM Architect
[ ]
Manage Dimensions
[ ]
Create Property Associations
Loading Metadata From a File
[ ]
Format a Metadata Load File
[ ]
Map dimension and dimension properties
[ ]
Load and Extract Metadata
Setting Up Accounts and Custom Dimensions
[ ]
Enter members and set member properties in the Account, and Custom dimensions
[ ]
Describe system-generated dimension members
[ ]
Describe how account types affect balance sheet movement
[ ]
Describe the use of the SwitchSignForFlow and SwitchTypeForFlow properties in the custom4 dimension to track balance sheet movement
Setting Up Entities, Calendars and Scenarios
[ ]
Enter members and set member properties in the Entity and Scenario dimensions
[ ]
Define the calendars by setting up the Year, Period, and View dimensions
[ ]
Set up the consolidation path in the Entity dimension
[ ]
Enter currency information
Introduction to Financial Reporting
Financial Reporting Overview
[ ]
Describe the components and general architecture of Hyperion System 9
[ ]
Describe Financial Reporting functionality and architecture
[ ]
Identify data source dimensions and members
Navigating Reports in Workspace
[ ]
Identify interface elements in Workspace
[ ] Set preferences o Preview and print reports
[ ] Set the user Point of View (POV)
[ ] Limit user POV member selections
[ ] Integrate reports into Microsoft Office applications
Navigating Reports in Financial Reporting Studio
[ ]
Log on to Financial Reporting Studio
[ ]
Identify portions of the Financial Reporting Studio workspace
[ ]
Open, preview, and print reports
[ ]
Identify report components
[ ]
Change the user point of view
Creating Reports
Creating Basic Reports
[ ]
Create reports and grids
[ ]
Select members for rows and columns
[ ]
Set the POV
[ ]
Modify reports by adding rows and columns
[ ]
Save reports
Creating Application Views
[ ]
Create an Application View
[ ]
Configure Application Properties
[ ]
Add dimensions to an Application View
[ ]
Filter dimension members
[ ]
Validate Application Views
Deploying Applications
[ ]
Validate application views
[ ]
Compare application views
[ ]
Deploy Applications
Adding Data to an Application
Loading Data
[ ]
Create data load files
[ ]
Load data from a file
[ ]
Copy data within a database from one location to another
[ ]
Remove data from a database
Rule Basics
[ ]
Describe the purpose of a rules file
[ ]
Describe the types of rules
[ ]
Use objects and functions in rules
[ ]
Load and extract rules
[ ]
Use the rules editor
Entering Data using Data Grids
[ ]
Create data grids
[ ]
Enter, edit, and calculate data in data grids
[ ]
Enter cell text and line item detail
Creating Member Lists
[ ]
Describe a member list
[ ]
Describe the differences between system-generated and user-defined member lists
[ ]
Create scripts for creating static and dynamic user-defined member lists
[ ]
Load and extract member lists
Setting up Security
Provisioning Users and Groups
[ ]
Describe the 4 levels of security provided by Hyperion Financial Management.
[ ]
Add user and groups to an application
[ ]
Assign roles to users and groups
Assigning Access to Data and Documents
[ ]
Describe data and document access
[ ]
Assign access to security classes
[ ]
Assign access to Dimension in MasterView
[ ]
Format a security file
[ ]
Load and extract security files
Creating Data Entry Forms and Task Lists
Creating Data Entry Forms
[ ]
Describe data entry forms
[ ]
Define the point of view in a data entry form
[ ]
Define rows and columns in the data entry form
[ ]
Set row and column options
Applying Advanced Member Selections
[ ]
Select members by using lists
[ ]
Select members by using functions
[ ]
Select members by using expressions
[ ]
Select members for the page axis
Customizing Grids
[ ]
Select multiple database connections in a grid
[ ]
Attach documents to reports
[ ]
Display line-item details
[ ]
Create reports with expansions
[ ]
Create reports with related content
Formatting Cells and Grids
[ ]
Format cells within a grid
[ ]
Format grids
[ ]
Sort a range of rows or columns
[ ]
Suppress data in a grid
[ ]
Apply conditional formatting in a grid
[ ]
Specify the page setup
Adding Objects to Reports
Creating Report Objects
[ ]
Create text boxes in a report
[ ]
Add images to a report
[ ]
Save and link objects
[ ]
Insert saved objects into a report
[ ]
Add headers and footers to a report
[ ]
Create row and column templates
Creating Charts
[ ]
Create bar, line, pie, and combo charts
[ ]
Format charts
Adding Functions to Reports
Adding Text Functions
[ ]
Describe the purpose of text functions
[ ]
Describe common text functions
Creating Task Lists
[ ]
Describe task lists
[ ]
Create task lists
[ ]
Add items to task lists
[ ]
Organize task lists
Managing Intercompany Balances and Adjustments
Entering Intercompany Data
[ ]
Describe how intercompany data is eliminated in Hyperion Financial Management
[ ]
Setup entities and accounts for intercompany and elimination processing
[ ]
Enter intercompany data
[ ]
Report on intercompany data
Adjusting Data with Journals
[ ]
Describe the purpose of journals
[ ]
Open periods for journal entry
[ ]
Create journal journals
[ ]
Move journals through the review process
Calculating and Consolidating Data
Running Consolidations
[ ]
Describe the Consolidation Process
[ ]
Check calculation status
[ ]
Run a consolidation
[ ]
Configure application settings for currency translation
[ ]
Enter exchange rates
[ ]
Run currency translations
[ ]
Describe Org by Period
[ ]
Configure application setting for Org by Period
[ ]
Setup grids for Org by Period
[ ]
Set the Active and Inactive Entities
Managing the Review Cycle Using Process Management
[ ]
Describe process control
[ ]
Set up scenarios and users for process control
[ ]
Process Units and Validation
[ ]
Start the review cycle for a process unit
[ ]
Submit process units
[ ]
Approve and publish process units
[ ]
Lock process units
Creating Data Synchronizations
[ ]
Describe data synchronization
[ ]
Create synchronizations and mappings
[ ]
View data flows
[ ]
Run synchronizations
[ ]
Analyze Data Using Smart View
[ ]
View and analyze data using the Ad Hoc Analysis tool
[ ]
Enter functions in an Excel worksheet
Adding Auto Calculations and Mathematical Functions
[ ]
Describe the purpose of auto calculations and mathematical functions
[ ]
Add auto calculations to data rows and columns
[ ]
Apply mathematical functions and properties to perform calculations
[ ]
Describe common mathematical functions
Managing Reports
Creating Books
[ ]
Preview books in PDF and HTML modes
[ ]
Change the book POV
[ ]
Create books containing multiple reports
[ ]
Set member selections for reports in a book
Creating Batches
[ ]
Create and schedule batches to generate reports automatically
[ ]
Schedule batch bursting options
[ ]
View, retrieve, and duplicate batches
Managing Items in the Repository
[ ]
Create e-mail links
[ ]
Create folders
[ ]
Rename, move, and delete items in the repository
[ ]
Import and export items
[ ]
Manage database connections
[ ]
Set permissions for repository items
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Recommended Training about 1z0-271 exam PDF
The following courses are the recommended training for 1z0-271 exam PDF.
1z0-271 Q & A with Explanations
1z0-271 Audio Exam
1z0-271 Study Guide
1z0-271 Preparation Lab
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Product DescriptionExam Number/Code: 1z0-271
Exam Name:Hyperion Financial Management9.3 Administrator I&II
“Hyperion Financial Management9.3 Administrator I&II”, also known as 1z0-271 exam, is a Oracle certification. With the complete collection of questions and answers, Pass4sure has assembled to take you through 84 Q&As to your 1z0-271 Exam preparation. In the 1z0-271 exam resources, you will cover every field and category in Other Oracle Certification helping to ready you for your successful Oracle Certification.
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