|Exam Name||:||Hyperion Financial Management v3.51|
|Questions and Answers||:||184 Q & A|
|Updated On||:||August 18, 2017|
|PDF Download Mirror||:||4H0-435 Brain Dump|
|Get Full Version||:||Pass4sure 4H0-435 Full Version|
A client has a dynamic process of adding new accounts and products every month. They require the ability to audit changes by time and by user to their application. Which practice provides the most control and auditability for user changes to metadata over time?
Use the native backup and restore properties of the database to version the application.
Publish the model to Hyperion Hub and allow the versioning to control model management.
Extract metadata on a regular basis with a naming convention to indicate their version of the metadata.
Use Extended Analytics to create fully populated and consolidated star schemas in a separate database.
An administrator needs to link several integrations together in the Hub and run them sequentially. How can this be accomplished?
Add the integrations to a group.
Use Hyperion Application Link to run the integrations sequentially.
Use Common Event services to schedule the DataBroker integrations.
Build a master integration in DataBroker which has several sub integrations within it.
Which three dimensions are valid POV destinations in an HS.Con statement? (Choose three.)
A user is creating a Web Data Entry Form and needs to define the POV. Which statement is true for POV selections when used in a Web Data Entry Form?
All members must be specified in the Selectable POV.
Both the Member and Selectable text boxes must be filled with a member.
If you are using the form builder, each dimension must be defined in the member text box and is optional for the Selectable text box.
If member is not defined in the form, the system uses the member in the User POV for the dimension initial value.
When using the HFM HAL adapter, which are valid Import Data Method options?
Replace, Merge, Aggregate
Merge, Accumulate, Remove
Accumulate, Replace, Clear
Merge, Replace, Accumulate
An HFM user is creating a journal report on the web. Which three dimensions from the POV are available on the Properties panel to select members? (Choose three.)
How does the system use voting shares?
to calculate control
to calculate ownership
to determine if the entity is active
to determine consolidation method
A user needs to create a Web Data Entry Form with the following requirements:
columns 1, 2, and 3 use S#Budget
the first column of row 2 shows the account SlsTot
the second and third columns of row 2 have a server side calculation that averages SlsCars and SlsTrucks
What is the correct syntax for row 2?
R2= Col1:A#Sales,Col2:(A#SlsCars+A#SlsTrucks)/2), Col3:(A#SlsCars+A#SlsTrucks)/2)
R2= A#SlsTot, Override(2,3:(Calc(A#SlsCars+A#SlsTrucks)/2))
R2= A#SlsTot, Override(2,3,SCalc((A#SlsCars+A#SlsTrucks)/2)
What are three available methods for the HFM HAL adapter? (Choose three.)
Set Logon Information
In the HFM Business rules, the IsTransCur function is used to return what information?
the default currency of the current entity
the translation method of the current account
the default currency of the parent of the current entity
whether or not the current Value dimension member is a translated member
whether or not the current Account dimension member is a translated member
You are using a Web Data Explorer Grid that cannot be drilled down on by default when placing a dimension in the rows. What is the most likely reason for this?
You have nested another dimension in the rows.
When saving your grid, you checked the box to disallow drill down.
You have selected a member list from the Grid Settings dialog box.
You selected the Prevent Drill Down option from the Row Settings dialog box.
How does the administrator enable an application for use with the Hub?
Add the application from the Hub Administration menu.
Edit the HFMApplicatons.property file on the Hub Server.
Edit application settings in Metadata Manager to Shared = "Y".
Register the application in the HFM Administration Task menu.
Which three lines of code are valid? (Choose three.)
If HS.Value.Member = "[Proportion]" Then
If HS.Value.Member = "<Entity Currency>" Then
If HS.Value.Member = "[Contribution Adjs]" Then
If HS.Value.Member = "<Parent Currency>" Then
The account Machinery has an Account Type of Asset. The default exchange rate
for Balance accounts is EndRate. The default exchange rate for Flow accounts is AvgRate. The elements of the Custom1 dimension are:
Movement For. Exch. Closing
The SwitchTypeForFlow flag has been checked for Movement and For. Exch. The top Custom1 member has been assigned to the Machinery account.
Assuming no translation rules have been written, how will Machinery translate?
MachineryOpeningEndRate MachineryMovementAvgRate MachineryFor. Exch.AvgRate MachineryClosingEndRate
MachineryOpeningOpenRate MachineryMovementAvgRate MachineryFor. Exch.AvgRate MachineryClosingEndRate
MachineryOpeningEndRate MachineryMovementAvgRate MachineryFor. Exch.EndRate MachineryClosingEndRate
MachineryOpeningEndRate MachineryMovementEndRate MachineryFor. Exch.EndRate MachineryClosingEndRate
Which two statements are true about Validation accounts? (Choose two.)
Validation accounts cannot have children.
The Validation account must be zero to lock data.
The Validation account must be populated by rules.
The Validation account must be zero to process the data to any level.
Which grid opens the fewest sub-cubes?
Accounts in rows; Years in columns
Entities in rows; Scenarios in columns
Accounts in rows; Custom1 members in columns
Entities in rows; Value dimension members in columns
The Calculate Ownership Process allows you to . (Choose three.)
calculate ultimate percent owned
propose the entity's consolidation method
calculate ownership for multiple parent entities
propose the holding company's consolidation method
Entity One holds an investment of 1000 in Entity Two. The following
Consolidation logic statements apply:
If HS.Node.Method("") = "HOLDING" then If Account = "Investment" then
If HS.Entity.IsDescendant(Parent,ICP) then
If HS.Node.Method("E#" & ICP) = "SUBSIDIARY" then Call HS.Con("V#[Elimination]",-1,"Elim2")
Call HS.Con("A#InvestPlg.V#[Elimination]",1,"Elim2") Which two statements are true? (Choose two.)
Entity Two must consolidate using the Equity method in order for the Investment to eliminate.
Entity One must consolidate using the Holding method in order for the Investment to eliminate.
Entity One and Entity Two must share a common parent in order for the investment to eliminate.
Entity One's investment will offset to the Plug account associated with the Investment account in metadata.
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