Workday Finance Course Content
Module 1: Core Concept and Navigation
- Core Concepts
- Tenant
- Basic Navigation
- Functional Area
Module 2: Organization and Work tags
- Overview
- Security Policies
- Organization
- Reorganization
- Create Company
- Bank Setup
- Create Bank Routing Rule
- Organization Hierarchy
- Cost Center Organization
- Worktags
Module 3: Financial Accounting Setup
- Setup Currency
- Fiscal Schedule
- Account Set
- Account Control Rule Set
- Accounting Posting Rule Set
- Account Translation Rule Set
- Default Reporting Book
- Journal Reversal Option
- Company Accounting Details
- Create Ledger
- Ledger Period
- Maintain Ledger Period
- Custom Validation
Module 4.Process Accounting Journals
- Overview
- Financial accounting flow
- Financial Transaction flow
- Accounting Journals
- Create Journal
- Copy, Repost, Cancel Journal
- Journal Approval Procedure
- Create Recurring Journal Entry Template
- Journal Setup
Module 5: Create and Process Journal EIB
- Create Journal EIB
- Populate journal information
- Load Journal EIB
- Process Journal
Module 6: Review Period Close
- Allocation
- Revaluation
- Consolidation
- Translation
- Balance carry forward
Module 7: Security
- Functional Areas
- Domain Security Policies for Functional Area
- Business Process Security Policies for Functional Area
- Create Security Group
- View Security Group
- Security Analysis for Workday Account
Module 8: Suppliers
- Overview
- Supplier setup
- Create Supplier
- Spend Categories and Purchase Item
Module 9: Supplier Invoices
- Overview
- Security Policies
- Create Supplier Invoice and Adjustment
Module 10: Customer
- Overview
- Customer setup
- Create Customer
- Revenue Categories and Sales Item
- Customer Validation
Module 11: Customer Invoices and Customer Receipts
- Overview
- Create Customer Invoices and Adjustment
- Record customer payment -On account, short payment
- Create Customer Refund
Module 12: Settlement
- Overview
- Create settlement run
- Cash flow
Module 13: Close and Report
- Overview
- Period close
- Bank Reconciliation
- Financial Reporting
Module 14: Workday Reporting
- Overview
- Reporting terminology
Module 15: Expenses
- Create Expense Report
- Settlement of Expense Report
- Create Travel Expense Report
- Create Spend Authorizations