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Course Details
Course
SAP FICO – Financial and Controlling
SAP Version ECC 6.0
Duration: 40-45 hrs
Online Training - Course Content
Financial Accounting
Basic Settings
· Define Company
· Company code
· Business Area
· Fiscal year variant
· Posting Period Variant
· Field Status Variant
· Document Types and Number Ranges.
General Ledger (GL)
· Chart of accounts
· Account Groups
· Define Retained Earning Account
· GL Master Creation
· Blocking / Un-Blocking of a GL Account
· Delete gl account
· Tolerance Group for Employees and GL A/C’S
End user Area
· G/L Document Posting
· Holding a document
· Parking a Document
· Display Balance
· Display of the line items
· Reference Document:
i. Sample Document
ii. Recurring document
· Document Reversal
a. Normal Reversal
b. Mass Reversal
· Currency translation
Accounts Payable: (5)
· Vendor Account Groups
· No. Range Creation & Assignment
· Assign no range to vendor account group
· Vendor Master Data
· Terms of payment
· Invoice Posting
· Credit memo
· Parking & holding
· Balance Display
i. FBL1N
ii. FK10N
· Reference documents
i. Recurring document
ii. Sample document
· Payment Posting
· Manual Open Item clearing
i. Full Clearing
ii. Partial Clearing
iii. Residual Clearing
· Automatic Payment Program
· House Banks:
i. House Banks Master Data
ii. Bank Account Creation
iii. Check Details Creation Document Reversal
iv. Individual reversal
v. Reset cleared item
vi. Mass Reversal
· Down Payment Posting
· Cash discount received
· Settlement between customer & vendor
Accounts Receivable (3)
· Customer Account Groups
· No. Range Creation & Assignment
· Customer Master Data
· AR-Invoice
· Credit memo
· Parking & holding
· Balance Display
i. FBLN
ii. FD10N
Reference documents
i. Recurring document
ii. Sample document
· Reversal
i. Individual reversal
ii. Mass reversal
iii. Document reset
· Incoming Payment
· Dunning Program
· Bills of exchange
Taxes: (2)
· Taxes on Sales & Purchases
· Withholding Taxes
Asset Management (Asset Accounting) (5)
· Copy Reference Chart of Depreciation/Depreciation Areas
· Assign Chart of Depreciation to Company Code
· Specifying Account Determination
· Create Screen Layout Rules
· Define Number Range Interval
· Define Asset Classes
· Assign G/L Accounts
· Specify Document Type for Posting of Depreciation
· Specify Intervals and Posting Rules
· Specify Rounding of Net Book Value and/or Depreciation
· Define Base Methods
· Define Declining-Balance Methods
· Define Maximum Amount Methods
· Define Multi-Level Methods
· Maintain Period Control Methods
· Maintain Depreciation Key
· Define Screen Layout for Asset Master Data
· Define Screen Layout for Asset Depreciation Areas
· Creation of Asset Master
· Asset Acquisitions
· Asset Retirements
· Asset Transfers
· Asset Scraping
· Asset Reports
· Depreciation Running
Management Accounting (CONTROLLING)
1. Basic Setting:
Ø Controlling Overview
Ø Controlling Area Definition
Ø Activate Component
Ø Assign Company Code to Controlling Area
Ø Assign Number ranges to Controlling Area
Ø No. Range Creation Version Maintenance
Ø Maintain Co Version
2. Cost Element Accounting:
Ø Creation of Cost Elements
Ø Grouping of Cost Elements
Ø Automatic Cost Element Creation
3.Cost Center Accounting:
Ø Cost Center Accounting Basic setting
Ø Cost center Accounting Standard Hierarchy
Ø Creation of Cost Centers
Ø Grouping Of Cost Centers
Ø Set Planner Profile
Ø Activity types
Ø Reposting
Ø Assessment Cycle
Ø Distribution Cycle
Ø Reports for Cost Center Wise
4. Profit Center Accounting
Ø PCA Basic Settings
Ø Profit Center Master Data
Ø Assignment in Profit Center Accounting
Ø PCA Planning
Ø Profit Center Creation
Ø Account group creation ( kdh1)
Ø Define Document Types & No. Ranges Center
Ø Assignment of Remove Elements to Profit
Ø Assignment of B/S Items Three Derivation Rules
Ø Planning by Profit Center wise
Ø Display plan, Actual, Variance Repots
5. Internal Order:
Ø Internal order Types
Ø Master Data
Ø Tolerance Limits For Internal order
Ø Internal order Creation
Ø Planning for Internal Order
ü REPORTS: Reports for GL, AP, AR, AA (fsv)
ü Cash journal
ü New GL Concept.
ü Real Time Issues.
FI_MM and FI_SD Integration
Base customizations (Definitions)
Ø Define Plant
Ø Copy, check delete division
Ø Maintain storage location
Ø Maintain Purchase organization
Ø Copy check delete sales organisation
Ø Define Distribution channel
Ø Maintain sales office
Ø Define Shipping Point
Ø Define credit control area
Assignments
Ø Assign plant to cocd
Ø Assign Business area & division
Ø Assign purchase organization to cocd
Ø Assign purchase organization to plant
Ø Assign sales organization to cocd
Ø Assign distribution channel to sales organization
Ø Assign division to sales organization
Ø Setup sales area
Ø Assign sales office to sales area
Ø Assign sales organization to distribution channel & plant
Ø Assign cocd to credit control area
Ø Assign sales area to credit control area
Ø Assign shipping point to plant
Material Master
Ø Maintain cocd for material master
Ø Define attributes to material types
Ø Create purchase groups
Ø Set tolerance limit for price variance
Ø Maintain Plant parameters
Ø Set tolerance limit
Ø Define Valuation control
Ø Group together valuation area
Ø Define valuation classes
Ø Define account grouping for movement types
Ø Creation of accounts groups for inventory and GR/IR accts
Ø Create gl accounts
Ø Configure automatic postings
Ø Maintain default values for tax-codes
Ø Configure vendor-specific tolerances
Ø Vendor master data creation (XK01)
End-User Area
Ø Create Material (MM01)
Ø Purchase order (ME21N)
Ø Goods Receipt - MIGO
Ø Display Material document - MB03
Ø Stock balance (MMBE)
Ø Invoice (MIRO)
Ø Display vendor invoice and make payment
Sales and Distribution
Ø Define common Distribution Channel
Ø Define common divisions
Ø Define & assign pricing procedure
Ø Define tax determination rule
Ø Assign gl accounts
Ø Partner functions
Ø Define Billing types
Ø Assign shipping points
End User Area
Ø Create customer (XD01)
Ø Create material(FERT)
Ø Sales order ( VA01)
Ø GL account assignment(OBYC)
Ø Goods receipt(MB1C)
Ø MB03
Ø MMBE
Ø Outbound delivery (VL01N)
Ø Create Billing doc (VF01)
Ø Check balance to be received
Ø Receive payment(f-28)
Other Information
Course Fee: Not Mentioned
Course Duration: Not Mentioned
Placement Provided: No
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