Getting Started with Financial Reporting-introduces the Studio workspace and the fundamental components comprising the groundworks in Financial Reporting Studio.
Selecting Members for Report Designers-describes how to organize members by lists, how to use functions to dynamically retrieve a members list and related members from a data source, and how to select members for your grid as well as Grid and User Point Of View (POV) bars.
Building Reports describes how to build a custom report using report objects and how to define those report objects by using property sheets.
Customizing Charts describes the types of charts you can add, how to access data from the chart's controlling grid, and how to use formatting options for the chart.
Customizing Grids describes how you can design custom grids, change the database connection of a grid, and use multiple database connections in a single grid, as well as how to use functions to refine your report data or to add dynamic data.
Defining the User POV describes how to select members for the user POV and how to limit the end users's access to specific POV members.
Providing for Detailed Data and Documents in Reports describes how to design your report to enable end users to view detail data that resides in the same report or in a linked report.
Previewing and Printing Reports describes how to preview and print all types of Financial Reporting reports and books as well as how to respond to prompts contained in a report or book while previewing or printing.
Working with Books and Snapshot Books describes how to define and manage books and snapshot books.
Formatting Reports describes how to format your report objects (text boxes, grids, images) as well as how to specify a page size for printing, or previewing.
Using Functions describes functions and how to apply them in your Financial Reporting report.
Managing the Explore Repository which describes the many functions you can perform in the repository such as organizing reports, importing and exporting reports, and flagging reports for viewing in the Studio workspace.
Using Batch Processing describes how to define and manage batches comprised of reports, snapshot reports, books, or snapshot books.
XBRL in Hyperion Reports describes XBRL™ (eXtensible Business Reporting Language) and how it is used in Financial Reporting Studio.
Property Sheet Help provides help for the property sheets in Financial Reporting Studio.
Currency Table shows the currencies that are supported in Financial Reporting Studio.
Frequently Asked Questions contains a list of commonly asked questions and answers for Financial Reporting Studio.
Glossary contains a list of key terms and their definitions.
Index contains an alphabetized list of Hyperion terms and subjects, and their page references.