SlideShare a Scribd company logo
Finance
LOGO
SAP Financial and Control Training
Email : fi-co@in.com /
naveenkumarala@gmail.com
Phone : 8553077108
ONLINE AND FACE TO FACE
REAL TIME ALSO
IntroductiontoERP & SAP:
 What isERP and its benefits
 IntroductiontoASAPmethodology
 Brief aboutASAProadmapand tools
 Explainaboutphasesof ASAP
 R/2 and R/3 architecture
 Aboutclient
 What islandscape and differenttypesof landscapesinSAP
IntroductiontoFICO:
 What isFI/CO
 Sub-modulesinFI&CO
 IntroductiontoGL (NewGL),A/P,A/R,AA & Special purpose ledgers
 IntroductiontoCEA,CCA,EC-PCA,CO-PA andPC
 IntroductiontoBankingandTreasury
 Conceptsof integrationwithMMandSD
 IntroductiononMonth-endclosingandYear-endclosing
Introductionof OrganizationalStructure of FI,COand MM General settings:
 CountriesinMy SAP
 Introductiontothe CurrenciesandCurrencytypes.
 # Local Currency
 # GroupCurrency
 # Index-BasedCurrency
 # Hard Currency
 Exchange rate typesand Translationratiosbetweentwocurrencytransactions
 Exchange rates(Directand IndirectQuotations)
Enterprise Structure:
 Difference betweenSocialandLogical Enterprise Structure
 DefinitionandAssignment
 Define company
 Define creditcontrol area
 Edit,Copydelete companycode
 Define Businessarea
 Define FunctionalareawithrespecttoCostcentercategories.
 Define FinancialManagementarea.
 Assignments
 Assigncompanytocompany code
 Assigncompanycode to credit control area
 Assignbusinessareastoconsolidationbusinessareas
Global Parameters:
 IntroductiontoGlobal Parameters.
 Fiscal yearvariant– Typesof Fiscal Years (Year-Independent,Year-Dependentandshortend
fiscal year) andSpecial periods.
 Assignfiscal yeartocompanycode
 Postingperiodvariant
 Openand close postingperiods
 Assignpostingperiodvarianttocompanycode
 Introductiontothe document
 # Difference betweendocumentheaderandline items
 # Documenttypes
 # Documentnumberranges
 # Postingkeys
 #Tolerance Groupfor EmployeesandGL accounts
 # Importance of Entryviewandgeneral ledgerview.
 Fieldstatusvariants&Groups
 Tolerance groupsforg/ls
 Tolerance groupsforemploye
 Variantprinciples
 Parallel currencies
 Introductiontomultiple ledgers
 Otheraspectsof global parameteratcompanycode level
 Preparationandfinalizationof COA inreal time.
 ScreenvariantsforG/L postings.
 Brief aboutmasterdata, Transactional dataand Table data inSAP
General Ledger:
 IntroductiontoGL
 Chart of Accounts.
 Operational chartof Accounts,
 Group chart of accounts.
 Countryspecificchartof accounts
 Accountgroups
 Configurationretainedearningsaccount
 GL Master Records:
 Creationof GL masterrecordat chart of account area level
 Creationof GL masterrecordat company code level
 Creationof GL masterrecordcentrally.
 Configurationof Groupchart of accounts.(explanation)
 Consolidationof GL accountsto (GroupGL accounts)
FOREIGN CURRENCIES:
 Checkexchange rate type
 Define transactionratiosforcurrency translation
 Enter exchange rates
 entercurrencytype as in documenttypes
 groupcurrency
 maintainadditionalcurrencies
End-UserTransactions:
 GL postings
 Postingsinspecial postingperiods.
 Enjoyscreenor single entryscreentransactioninGL
 Foreigncurrencyvaluationandtranslation
 Define currencyforadditional ledgers.
 Park andHold Document.
 Otherusercreationand usage of park and holddocs.
 Reference Documentpostingslike-sampleDocument, AccountassignmentModel andRecurring
Entry Transaction.
 OpenitemManagement-partial clearing,Residualclearing andfull clearing.
 Reversals-IndividualReversal,Mass reversal, Cleareditemreversal and
 Reversal andreversal.
 Batch inputsession.
INREREST CALCULATION:
 InterestCalculation(Balance interestandIteminterestcalculation)
 Define interestindicators
 Prepare accountbalance interestcalculation.
 Calendartype
 Outputcontrols
 Define reference interesttypes.
 Define reference interestrates
 Time dependentterms
 Enter interestvalues.
END USER AREA
 Enter interestpostings
Viewthe transactionbalances (ENDUSERAREA)
 Viewthe balances
 General accountwise
 Displaydocumentwise
 To viewperiodically
 Line itemwise
NEW GL:
 Importance of New GL and itsAdvantages.
 Define scenarios
 Define DocumentSplittingforG/L accounting
 Activate Documentsplitting.
G/L Reports:
 Month End and Year-EndActivitiesinGL
Cash journal:
 Define CJg/l a/c
 Define numberrange forCJ.
 SetupCJ.
 Create change delete businesstransaction
 SetupprintparametersforCJ.
END USER AREA
 Postingsof Cj document
 A/R&A/P,Banking:
 AccountGroups.
 DocumenttypesforCustomerandVendors.
 Numberrange groupfor Accountgroups.
 CustomerandvendorMaster Data
 Reconcile AccountforCustomerandVendorMasterData.
 Termsof payment.
 Paymentmethods.
 Automaticpaymentprogram.
 Dunning.
 Downpayments,Billsof Exchange andGuarantees.
 Tax calculationprocedure.
 Taxes-VATandwithholdingtaxes.
 Creditmanagement.
 DebitandCreditmemo.
 Correspondence-(Overviewof Smartformsof Correspondence)
 AlternativeReconciliationAccount
 Automaticdeterminationof G/Laccountsfor Taxes,ForeignExchange (RealizedAccounts)
End-UserTransactions:
 Vendor
 Postingsof vendorpayments
 Viewecona/c’swise
 Vendoroutgoingpayment.
 Termsof payment
 #partial
 #residual
 Cash discounts
Viewthe transactionbalances(ENDUSERAREA)
 Customer
 Postingsof vendorpayments
 Viewrecona/c’swise
 Incomingoutgoingpayment.
 Termsof payment
 #partial
 #residual
 Cash discounts
Banking:
 House Banks
 #define house banks.
 #Maintaincheck lots
 Define postingkeysandpostingrulesforcheckdeposit.
 Create and assignbusinesstransactions.
 Define variantsforcheckdeposits
 Create and assignbusiness transactionsformanual bankstatement
 Define variantsformanual bankstatement.
 Manual (BRS)&ElectronicBankstatement.
 Checkand Transfermethodof paymentsthroughBanks.
 Checkregister,CheckMaintenance, assurance,CancellationEtc….
 Customerandvendorreports.
 Z reportsand and preparationof functional specsforZreports.
Viewthe transactionbalances(ENDUSERAREA)
Banking:
 Postings
 Outgoingpayment
 Viewchecks register.
 Update check enhancement
 Voidingof issuedcheck andreverse the payment
 Assigningthe checknumberstopaymentdocument.
 Voidingof issuedcheckandcancellingthe payment
 Viewline itemdisplays
Viewthe transactionbalances(ENDUSERAREA)
Withholdingtaxes(TDS)
 Maintaincalendar.
 Checkwithholdingtax countries.
 Define withholdingtax keys.
 Define businessplaces
 Assignfactory calendartobusinessplace
 Define businessplaces
 Assignsectioncode tobusinessplace.
 Define withholdingtax type forinvoice posting
 Define withholdingtax type forpaymentposting
 Define withholdingtax codes.
 CheckRecipienttypes.
 Maintaintax due dates
 Assignwithholdingtax typestocompanycodes.
 Activate extendedwithholdingtax
 Maintaincompanycode settings
 Specifydocumenttypesforremittance challan
 Maintainnumberranges.
 Assaignnumbergrouptobusinessplace.
 Assaignnumbergrouptosectioncode
 Maintainnumbergroups& sap scriptforms(forTDS)
 Assignnumberrangestonumbergroup.
 Maintainnumberranges.
 Assigntax codesinvendormaster.
ENDUSER AREA:
 Postingof conversion charges
 Create remittance challan
 Enter bankchallan
 Printtds certificates
ASSET ACCOUNTING:
 Chart of depreciation.
 Define 0%tax codesforAssetaccounting.
 Assetclassand Accountdeterminationof AssetClasses.
 Depreciationareas (DerivedDepreciation Areas).
 ScreenlayoutrulesandNumberrange Assignments.
 Group assets.
 Calculationmethods.
 Depreciationkey.
 DeltacurrenciesinAssetAccounting.
 Fiscal yearin AssetAccounting.
 Assetmasterdata (Mainand SubAssets).
 Overviewof revolutionof assets.
 IntroductiontoinflationAccounting.
 Transactionto inflationAccounting
 Transactionkeys.
 AssetAcquisition (DirectandA u C).
 AssetRetirement(Scrapping,withRevenuewithCustomerandwithoutCustomer).
 Interand Intra AssetTransfers.
 UnplannedDepreciation.
 Assetreports/WithDifferentvariantsandAssetexplorer.
 Strategyon data migrationrelatedtoAsset(LegacyAssets-Uploadprocess)
 Month End and Year-EndClosingsinFI.
End Users Screen:
 Asset AS01-Create
 AssetPurchase (withVendor)
 AssetExplorer
 AssetSale withoutCustomer
 AssetRetirementbyScrapping
INTEGRATION:
 FI-MMIntegration (ConfigurationfromMMto GR andIR.
 AccountAssignmentCategoriesinp oand Businessprocesstobe usedwithdifferentAccount
AssignmentCategories.
 ValuationArea.ValuationClassanditsImportance inMaterial Master.
 AccountingaspectsfromMaterial Master.
 Material movementtypes.
 OBYC and G/L account assignmentsfromMMprocess.
 FI-SDAutomaticAccountsdetermination.
 Revenue Re-Organizationprocessin FIandSD Integration.

More Related Content

PPTX
How to prepare e-TDS return
PPTX
Admin issues in e tds return filing
PPTX
Overview of TDS
PDF
Tds online return filing
PPTX
Tds overview final
PPTX
PPT on TDS in Very Simple Language
PDF
Tds on-Salaries
DOCX
Sap content
How to prepare e-TDS return
Admin issues in e tds return filing
Overview of TDS
Tds online return filing
Tds overview final
PPT on TDS in Very Simple Language
Tds on-Salaries
Sap content

Similar to SAP FI-CO GOOD TRAINING (20)

PDF
24028183 fico-notes
DOCX
Sap fica online ttaining
PPTX
SAP FICO Interview Questions By Garudatrainings
DOCX
patanali
PDF
Sap parallel currency activation
PPT
Compass Pms Functional Overview July2008
PPT
Sap treasury and risk management online training
DOCX
Paul m cv for march 2016 v1
PDF
RESUME PPT.pdf
PPT
Sap treasury and risk management:strive erp
PPT
Sap trm on line training
PPT
Sap treasury and risk management training
PPT
Sap treasury and risk management
DOC
Sap fico interview questions
PPT
Sap treasury and risk management
DOCX
Sap fico t code
DOCX
Resume sap
PDF
Fico interview questions and answers
PDF
Ficointerviewquestionsandanswers
24028183 fico-notes
Sap fica online ttaining
SAP FICO Interview Questions By Garudatrainings
patanali
Sap parallel currency activation
Compass Pms Functional Overview July2008
Sap treasury and risk management online training
Paul m cv for march 2016 v1
RESUME PPT.pdf
Sap treasury and risk management:strive erp
Sap trm on line training
Sap treasury and risk management training
Sap treasury and risk management
Sap fico interview questions
Sap treasury and risk management
Sap fico t code
Resume sap
Fico interview questions and answers
Ficointerviewquestionsandanswers
Ad

SAP FI-CO GOOD TRAINING

  • 1. Finance LOGO SAP Financial and Control Training Email : fi-co@in.com / naveenkumarala@gmail.com Phone : 8553077108 ONLINE AND FACE TO FACE REAL TIME ALSO IntroductiontoERP & SAP:  What isERP and its benefits  IntroductiontoASAPmethodology  Brief aboutASAProadmapand tools  Explainaboutphasesof ASAP  R/2 and R/3 architecture  Aboutclient  What islandscape and differenttypesof landscapesinSAP IntroductiontoFICO:  What isFI/CO  Sub-modulesinFI&CO  IntroductiontoGL (NewGL),A/P,A/R,AA & Special purpose ledgers  IntroductiontoCEA,CCA,EC-PCA,CO-PA andPC  IntroductiontoBankingandTreasury  Conceptsof integrationwithMMandSD  IntroductiononMonth-endclosingandYear-endclosing
  • 2. Introductionof OrganizationalStructure of FI,COand MM General settings:  CountriesinMy SAP  Introductiontothe CurrenciesandCurrencytypes.  # Local Currency  # GroupCurrency  # Index-BasedCurrency  # Hard Currency  Exchange rate typesand Translationratiosbetweentwocurrencytransactions  Exchange rates(Directand IndirectQuotations) Enterprise Structure:  Difference betweenSocialandLogical Enterprise Structure  DefinitionandAssignment  Define company  Define creditcontrol area  Edit,Copydelete companycode  Define Businessarea  Define FunctionalareawithrespecttoCostcentercategories.  Define FinancialManagementarea.  Assignments  Assigncompanytocompany code  Assigncompanycode to credit control area  Assignbusinessareastoconsolidationbusinessareas Global Parameters:  IntroductiontoGlobal Parameters.  Fiscal yearvariant– Typesof Fiscal Years (Year-Independent,Year-Dependentandshortend fiscal year) andSpecial periods.  Assignfiscal yeartocompanycode  Postingperiodvariant  Openand close postingperiods  Assignpostingperiodvarianttocompanycode  Introductiontothe document  # Difference betweendocumentheaderandline items  # Documenttypes  # Documentnumberranges  # Postingkeys
  • 3.  #Tolerance Groupfor EmployeesandGL accounts  # Importance of Entryviewandgeneral ledgerview.  Fieldstatusvariants&Groups  Tolerance groupsforg/ls  Tolerance groupsforemploye  Variantprinciples  Parallel currencies  Introductiontomultiple ledgers  Otheraspectsof global parameteratcompanycode level  Preparationandfinalizationof COA inreal time.  ScreenvariantsforG/L postings.  Brief aboutmasterdata, Transactional dataand Table data inSAP General Ledger:  IntroductiontoGL  Chart of Accounts.  Operational chartof Accounts,  Group chart of accounts.  Countryspecificchartof accounts  Accountgroups  Configurationretainedearningsaccount  GL Master Records:  Creationof GL masterrecordat chart of account area level  Creationof GL masterrecordat company code level  Creationof GL masterrecordcentrally.  Configurationof Groupchart of accounts.(explanation)  Consolidationof GL accountsto (GroupGL accounts) FOREIGN CURRENCIES:  Checkexchange rate type  Define transactionratiosforcurrency translation  Enter exchange rates  entercurrencytype as in documenttypes  groupcurrency  maintainadditionalcurrencies End-UserTransactions:  GL postings  Postingsinspecial postingperiods.  Enjoyscreenor single entryscreentransactioninGL  Foreigncurrencyvaluationandtranslation
  • 4.  Define currencyforadditional ledgers.  Park andHold Document.  Otherusercreationand usage of park and holddocs.  Reference Documentpostingslike-sampleDocument, AccountassignmentModel andRecurring Entry Transaction.  OpenitemManagement-partial clearing,Residualclearing andfull clearing.  Reversals-IndividualReversal,Mass reversal, Cleareditemreversal and  Reversal andreversal.  Batch inputsession. INREREST CALCULATION:  InterestCalculation(Balance interestandIteminterestcalculation)  Define interestindicators  Prepare accountbalance interestcalculation.  Calendartype  Outputcontrols  Define reference interesttypes.  Define reference interestrates  Time dependentterms  Enter interestvalues. END USER AREA  Enter interestpostings Viewthe transactionbalances (ENDUSERAREA)  Viewthe balances  General accountwise  Displaydocumentwise  To viewperiodically  Line itemwise NEW GL:  Importance of New GL and itsAdvantages.  Define scenarios  Define DocumentSplittingforG/L accounting  Activate Documentsplitting. G/L Reports:  Month End and Year-EndActivitiesinGL
  • 5. Cash journal:  Define CJg/l a/c  Define numberrange forCJ.  SetupCJ.  Create change delete businesstransaction  SetupprintparametersforCJ. END USER AREA  Postingsof Cj document  A/R&A/P,Banking:  AccountGroups.  DocumenttypesforCustomerandVendors.  Numberrange groupfor Accountgroups.  CustomerandvendorMaster Data  Reconcile AccountforCustomerandVendorMasterData.  Termsof payment.  Paymentmethods.  Automaticpaymentprogram.  Dunning.  Downpayments,Billsof Exchange andGuarantees.  Tax calculationprocedure.  Taxes-VATandwithholdingtaxes.  Creditmanagement.  DebitandCreditmemo.  Correspondence-(Overviewof Smartformsof Correspondence)  AlternativeReconciliationAccount  Automaticdeterminationof G/Laccountsfor Taxes,ForeignExchange (RealizedAccounts) End-UserTransactions:  Vendor  Postingsof vendorpayments  Viewecona/c’swise  Vendoroutgoingpayment.  Termsof payment  #partial  #residual  Cash discounts Viewthe transactionbalances(ENDUSERAREA)
  • 6.  Customer  Postingsof vendorpayments  Viewrecona/c’swise  Incomingoutgoingpayment.  Termsof payment  #partial  #residual  Cash discounts Banking:  House Banks  #define house banks.  #Maintaincheck lots  Define postingkeysandpostingrulesforcheckdeposit.  Create and assignbusinesstransactions.  Define variantsforcheckdeposits  Create and assignbusiness transactionsformanual bankstatement  Define variantsformanual bankstatement.  Manual (BRS)&ElectronicBankstatement.  Checkand Transfermethodof paymentsthroughBanks.  Checkregister,CheckMaintenance, assurance,CancellationEtc….  Customerandvendorreports.  Z reportsand and preparationof functional specsforZreports. Viewthe transactionbalances(ENDUSERAREA) Banking:  Postings  Outgoingpayment  Viewchecks register.  Update check enhancement  Voidingof issuedcheck andreverse the payment  Assigningthe checknumberstopaymentdocument.  Voidingof issuedcheckandcancellingthe payment  Viewline itemdisplays Viewthe transactionbalances(ENDUSERAREA) Withholdingtaxes(TDS)  Maintaincalendar.  Checkwithholdingtax countries.
  • 7.  Define withholdingtax keys.  Define businessplaces  Assignfactory calendartobusinessplace  Define businessplaces  Assignsectioncode tobusinessplace.  Define withholdingtax type forinvoice posting  Define withholdingtax type forpaymentposting  Define withholdingtax codes.  CheckRecipienttypes.  Maintaintax due dates  Assignwithholdingtax typestocompanycodes.  Activate extendedwithholdingtax  Maintaincompanycode settings  Specifydocumenttypesforremittance challan  Maintainnumberranges.  Assaignnumbergrouptobusinessplace.  Assaignnumbergrouptosectioncode  Maintainnumbergroups& sap scriptforms(forTDS)  Assignnumberrangestonumbergroup.  Maintainnumberranges.  Assigntax codesinvendormaster. ENDUSER AREA:  Postingof conversion charges  Create remittance challan  Enter bankchallan  Printtds certificates ASSET ACCOUNTING:  Chart of depreciation.  Define 0%tax codesforAssetaccounting.  Assetclassand Accountdeterminationof AssetClasses.  Depreciationareas (DerivedDepreciation Areas).  ScreenlayoutrulesandNumberrange Assignments.  Group assets.  Calculationmethods.  Depreciationkey.  DeltacurrenciesinAssetAccounting.  Fiscal yearin AssetAccounting.  Assetmasterdata (Mainand SubAssets).
  • 8.  Overviewof revolutionof assets.  IntroductiontoinflationAccounting.  Transactionto inflationAccounting  Transactionkeys.  AssetAcquisition (DirectandA u C).  AssetRetirement(Scrapping,withRevenuewithCustomerandwithoutCustomer).  Interand Intra AssetTransfers.  UnplannedDepreciation.  Assetreports/WithDifferentvariantsandAssetexplorer.  Strategyon data migrationrelatedtoAsset(LegacyAssets-Uploadprocess)  Month End and Year-EndClosingsinFI. End Users Screen:  Asset AS01-Create  AssetPurchase (withVendor)  AssetExplorer  AssetSale withoutCustomer  AssetRetirementbyScrapping INTEGRATION:  FI-MMIntegration (ConfigurationfromMMto GR andIR.  AccountAssignmentCategoriesinp oand Businessprocesstobe usedwithdifferentAccount AssignmentCategories.  ValuationArea.ValuationClassanditsImportance inMaterial Master.  AccountingaspectsfromMaterial Master.  Material movementtypes.  OBYC and G/L account assignmentsfromMMprocess.  FI-SDAutomaticAccountsdetermination.  Revenue Re-Organizationprocessin FIandSD Integration.