Workday Advance Financials
About Course
Overview
Workday Financial Management is a cloud-based financial management and accounting software solution designed to streamline and automate various financial processes for organizations. It is part of the broader suite of Workday applications that cover human resources, payroll, and other business functions. Workday Financial Management is designed to help organizations improve efficiency, reduce costs, and make more informed financial decisions by providing a unified and modern financial management solution. Workday Core Financials is designed to provide organizations with a unified and modern platform for managing their essential financial processes, promoting efficiency, accuracy, and compliance
Workday is a cloud-based software vendor that specializes in human capital management and financial management application and it rapidly growing platform
We have been providing workday training since 2000 and delivered corporate and individuals training onsite and offsite. Our Trainers are industry driven professional and have more than 15 years of experience in Workday Financials Management
- 40 Days, 1 hrs each day, Instructor-Led Training
Workday Financial Course Material
Session Videos
Workday Setup Cookbook
Workday Tenant access
24/7 Support
Interview Preparation and Questions
Certification Guideline
Job Reference
Certificate upon Completion
Curriculum
1Workday Basic intro
- Overview
- Objectives
- Core Concepts
- Tenant
- Business Objects
- Basic Navigation – application Header
- Basic Navigation – Landing Pages and Dashboard
- Basic navigation – Screen Icons
- Functional Areas
- Domains
- Proxy
- Business Process Frame Work
- Configurable Security
2 Organizations and Work Tags
Overview
Objectives
Security Policies
Organizations
Re Organizations
Company Organizations
Bank Setup
Create Bank Routing Rule
Organization Hierarchy
Cost center Organizations
Location Organizations
Supervisory Organizations
3 Financial Accounting Setup
Overview
Objectives
Financial accounting setup
Security policies
Touch Points
Financial Transaction Flow
Company accounting Details
Account Set
Account Control Rule Set
Account Translation Rule
Ledger Setup
Ledger Period Status
Fiscal Schedule
Journal ID Creation/ Sequencing
4 Account Posting Rules
Overview
Objectives
Account Posting Rules
Multipurpose Rules
Supplier Accounts and Spend rules
Business Asset Rules
Cash Rule
Customer Accounts and revenue Rules
Credit card and expense Report Rules
5 Security and Business Process Overview
Overview
Objectives
Security Policies
Configurable Security Framework
What does configurable security provide?
Secured items
Steps for configuring Security
Configuring Role-Based security
Access rights to Organizations
Modify security groups
Benefits of Workday Business Process Framework
Business Process Overview
Business Process Terminology
Business Process Definition
Business Process Steps Types
Business Process Visualizations
Organization Process Hierarchy
Editing Business Processes
Basic Step Types
Order of Execution
Condition Rules
Trouble shooting
Security related reporting
6 Accounting Journals
Overview
Objectives
Security Policies
Journal – Journal Source
Multi Currency Journal
Copy Repost Cancel Journal
Recurring Journal
Journal Reversal
EIB- Upload a Journal Entry
EIB – Errors
Revaluation
Translation
Balance Carry Forward
Period Close
7 Suppliers
Overview
Objectives
Security policies
Supplier setup
Create Supplier
Spend categories and Purchase items
Supplier Group
Maintain Worktag Usages
Account Posting Rule for supplier
Supplier Request creation
8 Supplier invoices
Overview
Objectives
Touch Points
Security Policies and Business Process
Supplier Invoice and Adjustment
Procure to Pay Cycle
Recurring Supplier Invoice
Worktag Split Template
Error Troubleshooting
9.Customers
Overview
Objectives
Security Policies
Customer Setup
Customer Category
Customer Group
Maintain Related Worktag Usage
Revenue Categories and sales Items
Custom Validations
10.Customer Invoices
Overview
Objectives
Touch Points
Security Policies
Customer Invoices and Adjustments
Customer Invoice Account Posting Rule
Customer Deposit
Customer Refund
Credit and Rebill
Trouble Shooting
Customer Receipt
11. Settlement Run
Overview
Objectives
Create Financial Institution
Create Bank and Bank Routing Rule
Single Payment and Settlement Run
Settlement Rune Business Process
Print Check and Business Process
12.Close and Report
Overview
Objectives
Security Policies
Period close event
Period close notification
Period Close
Bank Reconciliation
Financial Reporting
13. Workday Tax (Bonus Module)
Overview
Objectives
Tax Structure
Tax Applicability
Tax Code & Tax Rates
Tax Recoverable
Tax Non-Recoverable
Tax Impacts
14.Workday Reporting
Overview
Objectives
Workday reporting Overview
Workday Standard Reports
Metric Reporting
Security Policies
Reporting Terminology
Report Data sources
Class Report Fields
Determining the Primary Business Object and Data Source
Business object details report
Contextual Reporting
Creating a Custom Report
Scheduling a Report
15.Workday Assets Management
Overview
Objectives
Workday Assets Overview
Workday Assets Configuration
Depreciation
Assets Impairment
Assets Adjustment
Assets Disposal
Assets Transfer
Assets Price Adjustment
Assets Depreciation/ Life Cycle Change
Assets Reporting
16.Workday Expense Reporting
Overview
Objectives
Workday Expense Overview
Workday Expense Report Creation
Perdiem, Accomodation, Travel Expense
Expense Workflow