How to set up multiple account structures in HFM account dimension

We are implementing a HFM application to replace two separate general ledger applications, one being Corporate and the other being a new subsidiary. The two account structures are quite different. We need to maintain both account structures. Also we are facing the issue that some of the Subsidiary accounts are repeated in the Corporate chart of accounts but they are meant different things.
Question:
What is the best solution to maintain two distinct chart of accounts in HFM and maintain its own rollup structure, but having the financial data of the subsidiary accounts to rolled into the Corporate accounts in order to be able to report consolidated financial results at corporate.
Appreciate your insights.
Thomas

EricWeir wrote:
Thanks, Barney. Nice of Apple to document this so conveniently for us. But sincerely, thanks.
I've never needed any documentation. Optional behavior has always been accessed using the Option key, going back to Classic Mac OS.

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    oCFL = oCFLS.Add(oCFLCreationParams)
    oCFLCreationParams.ObjectType = "2"
    oCFLCreationParams.UniqueID = "CFL2"
    oCFL = oCFLS.Add(oCFLCreationParams)
    oCons = objForm.ChooseFromLists.Item("CFL1").GetConditions
    oCon = oCons.Add()
    oCon.Alias = "CardType"
    oCon.Operation = SAPbouiCOM.BoConditionOperation.co_EQUAL
    oCon.CondVal = "C"
    objForm.ChooseFromLists.Item("CFL1").SetConditions(oCons)
    objForm.ChooseFromLists.Item("CFL2").SetConditions(oCons)
    Hope it helps,
    Vasu Natari.

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