Workday Pro Financial Management Certifications

Workday Pro Certifications

The Workday Pro Contracts to Cash Certification is intended for individuals who are responsible for configuring the Workday Customer Accounts and Customer Contracts applications to support a robust revenue processing system. This certification verifies knowledge in the following:

  • Core Workday Financial Management system functionality and execution of major financial events (transactions).
  • Maintaining the customer account, customer contract, and accounts receivable-related configuration to support your organization's revenue system requirements.
  • Executing the revenue process, including customer invoicing, billing, payment processing, contract amendments, and revenue recognition.

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The Workday Pro Procure to Pay Certification is intended for individuals who are responsible for configuring Workday Procurement to support a robust system to manage spend for both goods and services. This certification verifies knowledge in the following:

  • Core Workday Financial Management system functionality and execution of major financial events (transactions).
  • Maintaining procurement and supplier related configuration to support your organization's spend management requirements.
  • Executing the procurement process, including requisition, sourcing, receipt, and invoicing.
  • Executing the supplier accounts process, including invoicing, matching, and settling payments.

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The Workday Pro Record to Report Certification is intended for individuals who are responsible for configuring and maintaining  Workday Financial Management to support a robust financial period close and report system. This certification verifies knowledge in the following:

  • Core Workday Financial Management system functionality and execution of financial transactions.
  • Maintaining financial accounting and period close related configuration to support your organization's core accounting and financial reporting system requirements.
  • Executing more complex accounting tasks, including configuring data integrity tools, account certifications, journal sequencing, journal upload processing, intercompany transactions, and lease accounting.
  • Executing the close and report process, including accounting adjustments, account certification, allocation processing, multibook reporting, period close, and running key financial reports.

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Program Type

Certifications