SAP FICO is divided into two parts they are SAP FI and SAP CO. SAP FI represents the financials reports for SAP software and SAP CO covers the managerial or cost controlling.
Table of Contents:
1) ERP OVERVIEW:
·
ERP
Fundamentals
·
Why
ERP?
·
ERP
Implementation Strategies
·
About
SAP
·
Features
and Advantages of SAP
2) SAP OVERVIEW:
·
Sap introduction
·
Access sap shortcut icon in desktop
·
System connection entry
·
Log on sap system:
·
Log off the sap system:
·
Type of screen in sap
·
Components of sap
·
Transaction code
·
Language settings in sap
·
Changing the display options
·
Favorite’s
settings
·
Maintain
a start transaction in the sap gui
·
System
details
·
Sap create
a new session
·
View sap
current sessions
·
Date
format setting in sap
·
Sap
procedure hold data & set data on screen
·
Sap to
make visible of transaction code
·
Sap to
display transaction code currently used
·
Quick cut
and paste in sap
·
Activate/deactivate pop-ups for
system messages
·
Message
bar information
·
Radio
buttons and check boxes
·
Dialog
boxes
·
Required
input fields
·
Tabs
·
Field
entry searches
·
Using
a wild card in this field entry search
·
Sap GUI col or setting
· Customize local layout menu
·
Create desktop short-cut for transaction
·
How
to download, upload and share sap favourite menu
·
Downloading a file from sap
·
Lock & unlock transaction codes
·
Remove locked entries
·
Client overview
·
User configurations
·
Create the user
·
Users monitoring
·
To remove roles
·
User roles information system
·
Delete a
user in sap:
·
Copy to
copy a user and create another user:
·
Lock or
unlock users in sap
·
Change
user password in sap
·
Lock
multiple users in sap
·
Unlock
multiple users in sap
·
Reset
password for multiple users in sap
·
Create
multiple users at once in sap
·
Delete
multiple users at a time in sap
·
Notification
overview
·
Operational
transaction codes
3) BASIC SETTINGS:
·
Creation
of company
·
Creation
of company code
·
Assign
company code to company
·
Business
area
·
Fiscal
year variant
·
Assign
company code to a fiscal year variant
·
Chart
of accounts
·
Assign
company code to chart of accounts
·
Copy
chart of account
·
Delete
chart of account
·
Account
groups
·
Retained
earnings account
·
Define
the posting period variant
·
Assign
the posting period variant to the company code
·
Open
and close posting period.
·
Define
document number ranges
·
Define
document type:
·
Field
status variant
·
Assign company code to field status
variant
·
Tolerance
groups for GL accounts:
·
Tolerance
group for employees:
·
Assign
users to tolerance groups.
·
Global
parameters
·
Posting
keys configuration:
·
Define
country
·
Define
industry key
·
Define
sort key
·
Copying
of number ranges to company code
·
Copy the no ranges to next year
4) GENERAL LEDGER:
·
Creation
of GL accounts master data:
·
Edit
GL account centrally
·
Display
master record
·
Display
changes made in GL account master data
·
Blocking
general ledger master record
·
Delete
the general master records
·
Assign
retained account to GL
·
Copy
GL from company code to company code
·
Transfer
from company code to company code:
·
GL
balance carries forward to next year
·
Report
of accounts:
·
Posting
of document
·
Display
balances of GL
·
Reversal
of documents
·
Parking
documents
·
Hold
documents
·
Sample
documents
·
Recurring
documents
·
Accrual
or deferral documents
·
Foreign
exchange configuration
·
Interest
calculation
·
Cash
management (house bank, bank key, lock-box and cheque lots configurations)
·
Bank
reconciliation (electronic and manual bank statement configurations and check
deposits configuration)
·
Cash
journals configuration
·
Parallel
currencies
·
Automatic
clearing
·
Define
posting key for transaction enjoy
·
Define
doc type for transaction enjoy
·
Max
exchange difference per the company code:
·
Prepare
cross company code:
·
Cross
company code transaction display:
·
Choose
search field
·
Choose
selection field
·
Line
layout configuration:
·
Define
line layout
·
Maintain
line layout
·
Standard
layout
·
Posting
period open and closed
5) ACCOUNTING PAYABLE:
·
Creation
of vendor account groups
·
Creation
of number ranges for vendor accounts
·
Assign
number ranges to vendor account groups
·
Define
tolerance groups for vendors
·
Creation
vendor master record
·
Change
vendor master record
·
Display
vendor master record
·
Display
change made to vendor master record
·
Block
and UN block vendor master record
·
Flag
vendor master record for deletion
·
Change
of account group
·
Part
payments
·
Partial
payment method:
·
Residual
payment method:
·
Posting
of outgoing payment
·
Post
vendor invoice – general
·
Clearing
of part payments against the invoice
·
Check
the vendor line item display
·
Display
vendor account balance
·
Advance
payment posting
·
Clear
vendor down payment
·
Vendor
balances carry forward
·
Transfer
from company code to company code:
·
Define correspondence types
·
Assign programs for correspondence types
·
Define form names for correspondence print
·
Define sender details for correspondence form
·
Request
for correspondence
·
Maintain correspondence
·
Automatic
payment program configuration
·
Extended
withholding tax configuration
·
Terms
of payment - cash discount
·
Defining
the terms of payment
·
Terms of payment for holdback /
retain age
·
Assigning
payment terms to customers and vendors
·
Posting
of purchase returns document
·
Define
payment block
·
Reason
for blocking payment
·
Activate
block due to item amount
6) ACCOUNT RECEIVABLE:
·
Creation
of customer account groups
·
Creation
of number ranges for customer accounts
·
Assign
number ranges to customer account groups
·
Customer
master record configuration
·
Posting
of sales invoice
·
Posting of incoming payment
·
Check customer line item display
·
Customer clearing
·
Advance receipt posting
·
Clear customer down payment
·
Down payment configuration
·
Define dunning areas
·
Define dunning procedures
·
Define
dunning block reason
·
Define
dunning key
·
Assignment of dunning procedure in customer
master
·
Dunning run
·
Define
account clerk
·
Customer
balances carry forward to next year
·
Transfer
from company code to company code
·
Domestic vat registration numbers
·
Foreign
vat registration numbers
7) ASSET ACCOUNTING:
·
Creation
of chart of depreciation:
·
Creation of 0% tax codes for sales and
purchased
·
Assign
tax codes for non-taxable transactions
·
Assign
chart of depreciation to company code.
·
Specify
number assignment across company codes
·
Specify
account determination
·
Create
screen lay out rules
·
Define
number ranges intervals for asset master records
·
Creation
of asset classes
·
Specify
chart-of-depreciation.-dependent screen layout
·
Define
how depreciation areas post to general ledgers
·
Assign
additional g/l accounts for transactions/depreciation
·
Define multilevel methods
·
Maintain period control methods
·
Maintain
depreciation key
·
Determine the depreciation areas in the asset
class.
·
Specify intervals and posting rules
·
Specify
document type for posting depreciation.
·
Specify
rounding off net book value and /or depreciation
·
Define
screen layout for asset master data.
·
Main
asset master record creation
·
Sub-asset
master creation
·
Changes
to be made in asset master records
·
Display
of asset master records
·
Display
the changes in asset master records
·
Block
the asset master records
·
Delete
of assets
·
Posting
of purchase of main asset:
·
Asset explorer
·
Asset report to view all assets as on a date.
·
Depreciation
run
·
Sale
of asset:
·
Asset
sale without customer
·
Transfer
of asset
·
Asset
scrapping
·
Asset
acquisition
·
Asset
values
·
Asset
history sheet
·
Depreciation
values
·
Acquisition
report
·
Asset
retirement
·
Insurance
value
·
Asset
depreciation recalculates
·
Revaluation
of fixed asset
·
Asset inter-company transfer
·
Asset
fiscal year change
·
Asset
year end closing
·
Remove
year end closing for company code
·
Unplanned
depreciation
·
Reverse
the asset document posted
·
Display
of asset document number posted
·
Changes
of asset document number posted
·
Settle
to final asset
8) FINANCIAL STATEMENT
VERSION
·
Define financial statement version:
·
Display the
financial statements
9) CONTROLLING:
·
Maintain
controlling area
·
Maintain number ranges for controlling
documents
·
Maintain versions
·
Maintain currency and valuation profile
·
Assign currency and valuation profile to
controlling area
·
Define valuation clearing account
·
Parallel valuation approaches
·
Set "update all currencies"
indicator
·
Cost element accounting
·
Make default settings
·
Create batch input session
·
Execute batch input session
·
Reconciliation ledger
·
Activate/deactivate reconciliation ledger
·
Define adjustment accounts for reconciliation
posting
·
Specify document number range for
reconciliation posting
·
Define standard hierarchy
·
Define cost centre categories
·
Create cost centre
·
Define cost centre groups
·
Assigning number of cost centres and profit centres
·
Define cost elements for activity
allocation
·
Create activity types
·
Maintain statistical key figures
·
Create planning layouts for cost element
·
Define user-defined planner profile
·
Define allocation structures
·
Define activity types for indirect activity
allocation
·
Define indirect activity allocation
·
Define splitting structure
10) INTERNAL ORDER:
·
Activate order management in controlling area
·
Define order types
·
Maintain number ranges for orders
·
Define model orders
·
Maintain user-defined planner profiles
·
Maintain planner profile for overall planning
·
Maintain allocation structure
·
Maintain settlement profile
·
Maintain number ranges for settlement
documents
11) PROFITABILITY
ACCOUNTING (PCA):
·
Maintain controlling area settings
·
Create dummy profit centre
·
Set control parameters for actual data
·
Maintain plan versions
·
Allow balances to be carried forward
·
Maintain standard hierarchy
·
Create profit centre
·
Assigning
profit centre to cost centre
·
Define account determination for internal
goods movements
·
Define acct determination for production
variances in delivs to other pctrs
·
Define special handling for internal goods
movements
·
Define number ranges for local documents
·
Maintain planner profiles
·
Define distribution
·
Create assessment cost elements
·
Define
assessment
·
Maintain document types
·
Maintain automatic account assignment of
revenue elements
·
Choose additional balance sheet and P&L accounts
·
Define distribution
·
Define assessment
12) PROFITABILITY ANALYSIS
(CO-PA):
·
Maintain characteristics
·
Maintain value fields
·
Maintain operating concern
·
Set operating concern
·
Assign controlling area to operating concern
·
Define profitability segment
·
Maintain characteristics values
·
Define characteristics hierarchies
·
Define characteristic derivation
·
Define and assign valuation strategy
·
Define keys for accessing material cost
estimates
·
Assign costing keys to any characteristics
·
Assign value fields
·
Define number ranges for planning data
·
Maintain versions
·
Assign quantity fields
·
Set up planning framework
·
Assign characteristic groups to plan cycles
·
Assign receiver plan version
·
Define structure of cost centre assessment/process cost assessment
·
Define number ranges for actual postings
·
Maintain value field groups
·
Assign value field groups for line item
screens
·
Activate transfer of incoming sales orders
·
Maintain pa transfer structure for direct
posting fi/mm
·
Automatic account assignment
·
Define pa transfer structure for variance
settlement
·
Assign pa transfer structure to settlement
profile
·
Maintain characteristic groups
·
Assign characteristic groups to actual cycles
·
Assess cost centre costs / process costs
·
Activate profitability analysis
13) PRODUCT COSTING
·
Define origin groups
·
Maintain overhead cost elements
·
Define costing sheet
·
Define calculation bases
·
Define percentage overhead rates
·
Define quantity- based overhead rates
·
Define credits
·
Define overhead keys
·
Define overhead groups
·
Define cost component structure
·
Define costing variants
·
Check
attributes of material types
·
Check materials status
·
Check special procurement types
·
Check BOM application
·
Check BOM selection
·
Check alternative selection for multiple BOM
·
Check automatic routing selection
·
Check settings for generated operations
·
Check control keys for operations
·
Check formulas for costing
·
Check settings for formulas
·
Define relevancy to costing
·
Define price factors
·
Activate cross- Company costing
·
Activate cost components split in controlling
area currency:
·
Activate
costing versions
·
Define partner versions
·
Assign condition type to origin groups
·
Define quantity structure types
·
Define source structure
·
Check order types
·
Define cost accounting relevant default
values for order
·
Define cost object profiles for cost object
hierarchies:
·
Define cost object categories for cost object
hierarchies:
·
Check material accounts for settlement:
·
Activate generation of cost log in repetitive
manufacturing:
·
Define
goods received valuation for order delivery
·
Define results analysis keys:
·
Define results analysis version:
·
Define valuation method:
·
Define valuation variant for WIP and scrap:
·
Assignment of valuation variant for WIP:
·
Define line ids:
·
Define posting rules for setting work in
process
·
Define variance keys
·
Define default variance keys for plants
·
Define variance variants
·
Define target cost versions
·
Define primary data for input price variances
·
Create settlement profile
·
Create allocation structure
·
Create pa transfer structure
·
Define goods received valuation for order
delivery
·
Check account assignment categories
·
Check requirements classes
·
Check requirements types
·
Check control of requirements type
determination
·
Check planning strategies
·
Check strategy groups
·
Check strategy groups for MRP group
·
Check item categories
·
Check
item category groups
·
Check assignment of item categories
·
Activate cost components split in controlling
area currency
·
Define cost object categories
·
Link statistical key figures to LIS:
·
Maintain cost object / key figure assignment
·
Activate valuation areas for material ledger
·
Assign currency types to material ledger type
·
Assign material ledger types to valuation
area
·
Maintain number ranges for material ledger
documents
·
Configure dynamic price changes:
·
Reasons for price changes
·
Set up material price dispatch
·
Define movement type groups of material
ledger
·
Assign movement type groups of material
ledger
·
Define material update structure
·
Assign material update structure to a
valuation area
·
Activate actual costing
·
Create user- defined names for receipts /
consumptions
·
Assign user defined names for receipts /
consumptions
·
Activate actual cost component split
·
Activate distribution of consumption
differences
·
Set up transfer of cost component split to
co-pa
·
Activate WIP at actual costs:
14) INTEGRATION WITH MM
·
Define / create plant
·
Define / create storage location
·
Maintain purchase organization
·
Assignment of plant to company code
·
Assign purchase organization to company code
·
Assign purchase organization to plant
·
Valuation grouping code
·
Set tolerance limit for price variance
·
Set tolerance limits
·
Vendor specific tolerance group
·
Define automatic status change
·
Default values of tax codes for invoice
verification
·
Define attributes for material type
·
Creating material master record
·
Creation of purchase order
·
Creation of goods receipt
·
Display mm document
·
Invoice verification
·
Goods issue to production
·
Transfer material from plant to plant
·
Material price change
15) INTEGRATION WITH SD
·
Maintaining
sales organization
·
Assigning
sales organization to company code
·
Maintaining
distribution channel
·
Assigning
distribution channel to sales organization
·
Maintaining
division
·
Assigning
division to sales organization
·
Setting
up sales area
·
Assigning
sales organization- distribution channel- plant
·
Define
shipping points
·
Assigning
shipping point to plant
·
Defining
common distribution channels for master data use
·
Defining
common divisions for master data use
16) NEW GENERAL LEDGER
CONFIGURATION:
·
Introduction
·
Define
Ledgers for General Ledger Accounting
·
Define
Currencies of Leading Ledger (Optional)
·
Define
and Activate Non-Leading Ledgers
·
Assign
Scenarios and Customer Fields to Ledgers
·
Define
Ledger Group
·
Activate
New General Ledger Accounting
·
Define
Accounting Principles
·
Assign
Accounting Principle to Ledger Groups
·
Define
Variants for Real-Time Integration
·
Assign
Variants for Real-Time Integration to Company Codes
·
Define
Account Determination for Real-Time Integration
·
Define
Document Number Ranges for General Ledger View
·
Define
Document Types for Entry View in a Ledger
·
Classify
G/L Accounts for Document Splitting
·
Classify
Document Types for Document Splitting
·
Define
Zero-Balance Clearing Account
·
Define
Document Splitting Characteristics for General Ledger
·
Activate
Document Splitting
·
Assign
Valuation Areas and Accounting Principles
·
Define
Adjustment Accounts for GR/IR clearing
·
Deactivate
Update of Classic General Ledger
17) TREASURY MANAGEMENT
·
Define calculation indicator
·
Define company code additional data
·
Define portfolio
·
Define traders
·
Assign calendar
·
Define leading currency
·
Define clearing accounts for payment requests
·
Define valuation areas
·
Define accounting codes
·
Define accounting codes and valuation areas
·
Product groups / categories / types to be
excluded
·
Define and assign valuation classes
·
Assign general valuation classes to groups
·
Set the effects of update types on the
position components
·
Define foreign currency valuation procedure
·
Define
position management procedure
·
Assign position management procedure
·
Money market: define accrual / deferral
·
Define account assignment references
·
Define account determination
·
Define source symbols
·
Define planning levels
·
Settings
for automatic creation of hedge management data
·
Maintain
types for exposure planning profile
·
Maintain
period for exposure management
·
Maintain
headings, values and texts for attributes
·
Define
product types
·
Define
transaction types
·
Assign
FOREX attributes
·
Define
flow types
·
Assign
flow types to transaction type
·
Define
update types and assign usages
·
Assign
flow types to update types
·
Assign
update types for position update
·
Assign
general valuation class
·
Define
value date
·
Define
planning groups
·
Define
planning levels for logistics
·
Define condition types
·
Assign condition types to transaction type
·
Define correspondence types
·
Define correspondence activities
·
Assign general valuation class
18) TRAVEL MANAGEMENT
·
Define sales office
·
Specify addresses of sales offices
·
Define queues of sales offices
·
Define queue categories
·
Define sales office activities
·
Assign queue activities
·
Define groupings for access to external
reservation systems
·
Define fulfilment sales offices
·
Define airlines
·
Define customer program for airlines
·
Define hotel chains
·
Define customer program for hotel chain
·
Define room class
·
Assignment of room type to room class
·
Define car rental companies
·
Define customer programs for car rental
companies
·
Define car rental class
·
Assignment of car rental class to vehicle
specifications
·
Define trip rules for flight
·
Define trip rules for hotel
·
Define class rules for hotel
·
Specify class rules for room class
·
Define trip rules for car rental
·
Define class rules for car rental
·
Specify class rules
·
Define trip activity types for travel planning
·
Define travel profiles
·
Assign travel profile
·
Set up feature TRVFP for planning form
·
Set up feature TRVFR for request form
·
Maintain travel agency processing status
·
Define/delete/restore trip provision variants
·
Assign organizational areas to trip provision
variants
·
Define Global settings
·
Define employee grouping for travel expense
types
·
Define employee grouping for travel
management
·
Define trip activity types
·
Create travel expense types for individual
receipts
·
Create travel expense types for per diems/flat
rates
·
Define influence of control parameters:
receipt
·
Define influence of control parameters:
travel costs
·
Define influence of control parameters:
accommodation
·
Define calculation of meals per Diems
·
Define influence of control parameters: meals
·
Define influence of control parameters:
deductions
·
Set up variable field control via feature
TRVFD
·
Field control for additional receipt
information
·
Define posting and payment of trip advances
·
Define posting of paid individual receipts
·
Posting of individual receipts to be
reimbursed to employee
·
Travel expenses control (expert view)
·
Set up feature TRVPA for travel expenses
parameters
·
Set up feature TRVFE for settlement form
·
Assign wage types to travel expense types for
individual receipts
·
Assign wage types to travel expense types for
per diems/flat rates
·
Define assignment of wage type to symbolic
account
·
Conversion of symbolic account to expense
account
·
Define structure of trip statistics
·
Activate request/plan/expense report in
travel manager and for web DYNPRO
·
Set up field control for account assignment
object via TRVCO
·
Activate integration: travel planning -
travel expenses
19) DISPUTE MANAGEMENT
·
Create RMS ID
·
Create element type for case record
·
Create attribute profile
·
Create values for attribute 'priority'
·
Create values for attribute "escalation
reason"
·
Assign escalation reasons to an attribute
profile
·
Create text profile
·
Create status profile
·
Define number range interval for case
·
Define case types
·
Define automatic status changes
·
Activate process integration for sap dispute
management
·
Define default values for creation of dispute
cases
20) COLLECTION MANAGEMENT
·
Define company codes for sap collections
·
Define BP roles
·
Define groupings and assign number ranges
·
Maintain forms of address
·
Define BP role for direction customer to BP
·
Define number assignment for direction
customer to BP
·
Define collection rules
·
Define priorities
·
Define collection segments
·
Define collection profiles
·
Define collection groups
·
Assign collection groups to collection
segments
·
Define case types
·
Define automatic status changes
·
Activate sap collections management
·
Activate distribution per company code
·
Make settings for promise to pay
21) REAL ESTATE
CONFIGURATIONS
·
Activate real estate extension
·
Make basic settings in company code
·
Activate real estate management in
controlling area
·
Define
BP roles
·
Customer roles
·
Standard values for automatic creation of
customers
·
Standard values for automatic creation of
customers
·
Vendor roles
·
Standard values for automatic creation of
vendors
·
Define measurement types
·
Define tenancy law
·
Usage types
·
Usage type per rental object type
·
Measurement types allowed per rental object
type
·
Measurement types per usage type
·
Define contract types
·
Permitted object types per contract type
·
Define contract types to propose for usage
type
·
Renewal rules
·
Notice rules: period regulations
·
Notice rules: deadline regulations
·
Notice procedures
·
Notice reasons
·
Reasons for rejection
·
Define resubmission reasons
·
Define resubmission rules
·
Calculation formulas
·
Distribution formulas
·
Define condition types
·
Define condition purpose
·
Define condition groups and assign condition
types
·
Define flow types
·
Assign reference flow types
·
Assign flow type to condition type
·
Activate RE-FX for financial accounting
·
Account symbols
·
Assign account symbol to flow type
·
Replace account symbols
·
Determine incoming payment control
·
Assign company codes
·
Define accrual methods
·
Define standard settings for accrual
calculation
·
Edit settlement structure
22) INVESTMENT MANAGEMENT
·
Define program types
·
Special character
·
Coding mask
·
Maintain planning profiles
·
Assign program type to planning profile
·
Assign version to approval year or program
type
·
Define authorization levels for versions
·
Assign version to an authorization level
·
Define budget profiles for investment
programs
·
Assign budget profile to program type
·
Specify budget distribution
·
Store budget profile in project profile
·
Specify budget profile in order type
·
Define budget categories
·
Assign actual values
·
Maintain appropriation request types
·
Specify special symbols for approp. Request
number
·
Maintain coding masks for approp. Request
number
·
Define planning profiles for cost planning
·
Assign approp. Request type to planning
profile
·
Define planning profiles for revenue planning
·
Assign approp. Request type to planning
profile
·
Define approval levels for appropriation
requests
·
Activate event-linkage for workflow task
·
Define model orders
·
Define order types
·
Define investment profile
·
Define tolerance limits for availability
control
·
Maintain allocation structures
·
Maintain settlement profiles
·
Define project profile
23) OTHER DETAILS:
·
SAP
Issues and solutions
·
Sap
process of issue handling in certain departments
·
SAP
Interview questions and answers
·
SAP
Glossary
·
SAP
Transaction code- path
·
SAP
Transaction codes
·
SAP
Table details
·
SAP Short cut Keys
·
SAP
Business Requirement
·
SAP
Module details
·
SAP
Sample Resumes
If you would like to have more information and know consulting charges, please put up a mail to our Email ID: sap.training06@gmail.com or Make call to our mobile number: If it is with in the India (07730073423) or if it is any other country the number will be (91+) 7730073423 and we would be glad to give you detailed information on above courses.
Working Hours: Available on 6AM to 11 PM as per IST (7 days in a week) or if any other timing, please put me an mail or send an SMS, so that I can respond to you through mail or call
It will be highly appreciated if u also forwards the mail to any of your friends/colleagues or neighbours who you think would be interested.
No comments:
Post a Comment