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SAP S4 HANA Finance | SAP FIORI | S4 HANA Finance HANA 2024

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Jitesh Arora

8:49:07

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  • 1. Introduction To ERP SAP As ERP Software SAP ECC 6.0 & HANA Versions.mp4
    40:44
  • 2. Introduction to SAP S4 HANA, On-Premise, Cloud & Hybrid Deployment Options.mp4
    29:54
  • 3. SAP S4 HANA 2021 Server & SAP Fiori Navigation.mp4
    38:01
  • 1.1 S4 HANA FICO - Basic Settings.pdf
  • 1.2 S4 HANA GL Accounting.pdf
  • 1. Define Company Code, Business Area, Fiscal Year Variant & Chart of Accounts.mp4
    55:37
  • 2. Posting Period Variant in GUI & Fiori, Document Types and GL Document No. Range.mp4
    35:40
  • 3. Field Status Variant, Tolerance Groups, New GL Accounting, Currency Types in S4.mp4
    47:12
  • 4. Controlling Basic Settings, Ledger & Currency Types Settings, Cost & Profit Ctrs.mp4
    47:07
  • 1.1 S4 HANA GL Accounting.pdf
  • 1. GL Accounting Overview GL Master Data Segments in GL Account.mp4
    54:07
  • 2. Create GL Master Data on GUI & Fiori Post Journal Entries on GUI & SAP Fiori.mp4
    51:22
  • 3. GL Ac Balance, GL Line Item Display & Journal Entries on Fiori Parking Doc.mp4
    42:30
  • 4. Recurring Document Post with Recurring Document Foreign Currency Posting.mp4
    34:50
  • 5. Recurring Run, Upload Journal Entries And Reversal JE On Fiori .mp4
    38:31
  • 6. Accrual Posting and Reversal on GUI.mp4
    13:32
  • Description


    SAP S4 HANA Finance (FICO) Training | Hands On SAP Fiori Apps | Clear SAP FI Certification For Beginners | SAP HANA Job

    What You'll Learn?


    • You can become SAP S/4 HANA FICO Consultant
    • You can get SAP S/4 HANA Finance Certification
    • You will be able to work on SAP Fiori Apps
    • You can be SAP FI Consultant with or without Finance or Accounting background.
    • Knowledge about Real Time Business Processes and How to use them in SAP S/4 HANA
    • You will be able to work as Super User, Product Manager or End-Users
    • You can join any type of SAP Project
    • You will get exclusive SAP S/4 HANA Configuration Practice Sheets
    • SAP S/4 HANA Configuration Practice Sheets Are Helpful in Real Time Project Work
    • Knowledge About Procure To Pay Process
    • You will Learn SAP Fiori For Finance Activities

    Who is this for?


  • Any student or professional can join this course
  • What You Need to Know?


  • Any student or professional can join this course
  • More details


    Description

    Well Design Course With S/4 HANA FICO Practice Sheet


    C_S4HANA_2021_Practice Exam


    Finance Activities on Fiori:-

    Posting GL Invoice on Fiori

    Upload GL Invoices on Fiori

    Create Recurring Document on Fiori

    Execute Recurring Run on Fiori

    Post Invoice Invoice Posting on Fiori

    Posting Outgoing Payment To Vendor on Fiori

    Run Automatic Payment Program on Fiori

    Create Purchase Order on Fiori

    Create Goods Receipt Document on Fiori

    Create Invoice Receipt Document on Fiori

    Create Sales Order on Fiori

    Create Post Goods Issue on Fiori

    Create Billing Document on Fiori


    Introduction to SAP :-

    ERP

    SAP As ERP Software

    SAP Versions ECC 6.0 & HANA

    SAP Landscape

    Why SAP preferred as ERP software.

    Difference between Functional & Technical Modules in SAP

    SAP Functional and Technical Consultants

    Types of Implementations

    Software Development Life Cycle

    ASAP Methodology in SAP ECC

    Activate Methodology in SAP S/4 HANA

    Role of SAP Consultant

    Role of SAP End-User


    Introduction to SAP S/4 HANA: -

    Evolution of SAP S/4 HANA Versions

    Features of SAP S/4 HANA

    Solutions in SAP S/4 HANA

    SAP S/4 HANA Deployments

    On Premise

    Private Cloud

    Public Cloud

    Hybrid

    Comparison of On-Premise Vs Cloud

    SAP S/4 Journey


    · Introduction to ERP, SAP Versions Advantages of SAP over other ERP Packages

    · SAP Landscape

    · SAP Project Types

    · Difference between SAP ECC and S/4 HANA

    · ASAP and Activate Methodologies in SAP

    · Job description of Consultant and Business User

    · SAP ECC and S/4 HANA Journey

    · Features & Solutions in S/4 HANA

    · Deployment Options in SAP S/4 HANA

    · Comparison SAP HANA On-Premise, Private and Public Cloud Options

    · SAP Fiori Introduction

    · Fiori Application Types and Benefits


    Financial Accounting Global Settings: -

    · Company Code

    · Fiscal Year Variant

    . Year shift in Fiscal Year

    · Posting Period Variant (New)

    · Field Status Variant

    · Chart of Account

    · Account Groups

    . GL No. Ranges

    . Controlling Area Settings

    · Cost Center Creation

    . Profit Center Creation

    . Segment Accounting

    · Document Splitting

    · Difference Classic, New GL Accounting and Universal Journal Ledger Accounting

    · Difference Between Standard and Extension Ledgers

    . Ledger Settings For Company Code

    · Currency Types, Settings and Use of Company Code, Group, Hard and Freely Defined Currencies

    · Accounting Principles

    · Ledger for CO Version

    · Cost Center Standard Hierarchy

    · Profit Center Standard Hierarchy

    · Cost Elements in CO

    . Tolerance Group

    . GL Tolerance Group

    . Employee Tolerance Group


    General Ledger Accounting: -

    · Creation of General Ledger Master with GUI & Fiori App

    · Display/Change/Block/Unblock of GL Master with GUI & Fiori App

    · Document Entry postings with GUI & Fiori App Display and change of documents

    · Upload Journal Entries on Fiori App

    · Display of GL balances with GUI & Fiori App

    · Display GL account line items with GUI & Fiori App

    · Parked documents with GUI & Fiori App

    · Hold documents with GUI & Fiori App

    · Recurring Document Creation on GUI & Fiori

    . Normal Posting with Recurring Document with GUI & Fiori

    . Recurring Run-on Fiori

    · Reversal of individual documents and mass reversal with GUI & Fiori App

    · Reversal of accrual and deferral documents with GUI

    · Defining Exchange Rate types and Translation ratios

    · Foreign currency Postings with GUI & Fiori App


    Accounts Payable Accounting: -

    · Business Partner Role

    . Business Partner Grouping and Number Range

    · Master Data Synchronization

    · Customer Vendor/Supplier Integration – CVI

    · Customer and Vendor/Supplier Number. same as Business Partner Number

    · Creation of Vendor/Supplier Account Groups

    · Creation of Number Ranges for Vendor/Supplier Master Records

    · Assignment of Number Ranges to Vendor/Supplier Account Groups

    . Assign BP Grouping with Vendor/Supplier Account Groups

    . Difference Between Internal and External Number Range Assignments

    · Creation of Tolerance Group for Venders

    . Create Business Partner

    . Select Business Roles for BP

    . Create GLs for Invoice Posting

    . Create Reconciliation A/c

    · Creation of Vendor Master (display/change/block/unblock of vender master)

    . Create Purchase Invoice

    . Post Outgoing Payment

    · Posting of Vendor transactions (invoice posting, payment posting, credit memo)

    . Partial Payment To Vendor

    . Residual Payment To Vendor

    . Difference B/w Partial and Residual Payment Method

    . Create Bank Keys

    . Create House Banks

    . Create Bank Account/Account Ids with Fiori App

    · Creation of Check Lots

    . Create Check Register

    · Display Check Register

    · Cancellation of un-issued checks

    · Creation of void reasons

    · Cancellation of issued checks

    · Settings for Advance Request (Down Payment Request)

    . Settings For Advance Payments (Down Payment)

    .  Noted items for accounts payable

    .  Special GL Line Items

    . Alternate Reconciliation A/c

    . Special Reconciliation A/c

    . Clearing Down Payment Line Items

    ·. Automatic Payment Program

    · Creation of Terms of Payment

    · Posting of purchase returns

    · Defining Correspondence & party statement of accounts

    Create Purchase Order on Fiori

    Create Goods Receipt Document on Fiori

    Create Invoice Receipt Document on Fiori



    Accounts Receivable Accounting: -

    · Business Partner Role

    . Business Partner Grouping and Number Range

    · Master Data Synchronization

    · Customer Vendor Integration – CVI

    · Customer as Business Partner Number

    · Creation of Customer Account Groups

    · Creation of Number Ranges for Customer Master Records

    · Assignment of Number Ranges to Customer Account Groups

    . Assign BP Grouping with Customer Account Groups

    . Difference Between Internal and External Number Range Assignments

    · Creation of Tolerance Group for Customer

    . Create Business Partner

    . Select Business Roles for BP

    . Create GLs for Sales Invoice Posting

    . Create Reconciliation A/c

    · Creation of Customer Master (display/change/block/unblock of vender master)

    . Create Sales Invoice

    . Post Incoming Payment

    · Posting of Customer transactions (invoice posting, payment posting, credit memo)

    . Partial Payment from Customer

    . Residual Payment from Customer

    . Difference B/w Partial and Residual Payment Method

    · Creation of customer account groups

    .  Noted Item

    .  Special Line Item

    .  Alternate Reconciliation Account

    .  Special Reconciliation

    · Settings for advance payment from parties (down payment)

    · Configuration of settings for dunning

    · Generating the dunning letters

    · Defining correspondence and party statement of accounts

    · Posting of sales returns

    · Noted items for accounts receivable

    Create Sales Order on Fiori

    Create Post Goods Issue on Fiori

    Create Billing Document on Fiori


    Activate Material Ledger in SAP S/4 HANA


    Integration of financial accounting with Materials Management:

    · Definition of organizational units in materials management i.e. plant, storage location and purchase organization

    · Assignment of organizational units to each other

    · Definition of tolerance groups for purchase orders

    · Definition of tolerance groups for goods receipt

    · Definition of tolerance groups for invoice verification balance sheet items.

    · Definition of vendor specific tolerances

    · Creation, display and change of material master records

    · Creation of plant parameters

    · Maintenance of posting periods for materials management

    · Maintenance of parameters for invoice verification

    · Maintenance of plant parameters for inventory management and physical inventory

    · Definition of attributes for material types

    · Assignment of GL accounts for material transactions in financial accounting (Integration of MM with FI)

    · Creation of purchase order, posting of goods receipt, invoice verification on GUI

    .· Creation of purchase order, posting of goods receipt, invoice verification on Fiori


    Integration of Financial Accounting with Sales and Distribution:

    · Definition of sales organization

    · Definition of distribution channels

    · Definition of divisions

    · Assignment among various organizational units in SD

    · Definition of partner functions

    · Definitions of shipping point and loading points

    · Definition of pricing procedures

    · Determining the shipping points

    · Determining the pricing procedures

    · Maintenance of SD condition types

    · Maintenance of condition records

    · Assignment of GL accounts for sales transactions( integration of FI with SD)

    · Creation of sales order on GUI & Fiori

    · Initialization of stock

    · Posting the delivery of goods GUI & Fiori

    · Creating the sales invoice GUI & Fiori


    New Fixed Asset Accounting

    · Defining chart of depreciation

    · Creation of 0% tax codes for sales and purchased

    · Depreciation Area For Local Currency

    · Depreciation Area For Group Currency

    . Assignment of chart of depreciation to company code

    · Defining account determination

    · Definition of screen lay out rules

    · Definition of number ranges for asset classes

    · Integration with General Ledger & Posting rules

    · Defining Depreciation key

    · Definition of multilevel methods

    · Definition of period control methods

    . Close Previous Fiscal Year

    . Create Technical Clearing Account

    . Relevance of Technical Clearing Account

    · Creation of main asset master records

    · Creation of sub asset master records

    · Acquisition of fixed assets

    · Sale of fixed assets

    · Transfer of assets

    · Scrapping of assets

    · Depreciation run

    · Create Asset Under Construction

    . Line item Settlement of assets under construction of capital work in progress


    C_S4HANA_2021_ Practice Exam



    Who this course is for:

    • Any student or professional can join this course

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    Jitesh Arora
    Jitesh Arora
    Instructor's Courses
    I have been working as SAP FICO consultant for last 13 years. As a SAP FICO trainer, I also have online and offline teaching skills. I have done multiple SAP projects ECC as well as SAP S/4 HANA domestic and overseas.  I have experience of working and training in the following modules: SAP FI, CO, FM, PS, MM and SD
    Students take courses primarily to improve job-related skills.Some courses generate credit toward technical certification. Udemy has made a special effort to attract corporate trainers seeking to create coursework for employees of their company.
    • language english
    • Training sessions 13
    • duration 8:49:07
    • Release Date 2024/09/18

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