SAP FI-CO ONLINE TRAINING @ 750 With Certification documents
Product Code: SAP FINANCE LIVE TRAINING
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SAP FINANC DEMO CLASS VIDEOS AND EXCELLENT EXPLANATION ABOUT NEW GL
SAP FI-CO COURSE HIGHLIGHT FEATURES
- SAP Finance (FI) and Controlling in dept training for Duration 45 to 55 Hours and it will be weekend Saturday / Sunday Batch.
- We will Provide you SAP FI and CO Genuine Certification documents .
- Unlimited SAP FICO System access for 3 months FREE.
- Complete Videos recorded Sessions every day for your reference .
- Its complete advance modules and very in- depth training any body can get easily job.
- Complete training supported documents in the form of pdf or docs step by step explanation.
- Complete latest interview questions and answers of SAP FICO for crack interview and achieve target in job
- Live SAP Project scenario which will help you for getting job.
- 24X7 technical support team via Phone, Email and Chat
- Certificate issue of our training organisation after completion of course.
- Batch will be on weekend from Saturday to Sunday.
- Placement assistance
- After completion of course you are able to go for SAP Certification Exam.
SAP FI-CO COURSE CONTENT
Finance FI and Co Complete course.
Introduction to ERP & SAP:
- Ø What is ERP and its benefits
- Ø Introduction to ASAP methodology
- Ø Brief about ASAP roadmap and tools
- Ø Explain about phases of ASAP
- Ø R/2 and R/3 architecture
- Ø About client
- Ø What is landscape and different types of landscapes in SAP
Introduction to FICO:
- Ø What is FO/CO
- Ø Sub-modules in FI&CO
- Ø Introduction to GL (New GL), A/P, A/R, AA & Special purpose ledgers
- Ø Introduction to CEA, CCA, EC-PCA, CO-PA and PC
- Ø Introduction to Banking and Treasury
- Ø Concepts of integration with MM and SD
- Ø Introduction on Month-end closing and Year-end closing
Introduction of Organizational Structure of FI, CO and MM General settings:
- Ø Countries in My SAP
- Ø Introduction to the Currencies and Currency types.
- Ø # Local Currency
- Ø # Group Currency
- Ø # Index-Based Currency
- Ø # Hard Currency
- Ø Exchange rate types and Translation ratios between two currency transactions
- Ø Exchange rates (Direct and Indirect Quotations)
- Ø Enterprise Structure:
- Ø Difference between Social and Logical Enterprise Structure.
- Ø Definition and Assignment:
- Ø Define company
- Ø Define Credit control area
- Ø Edit, Copy delete company code
- Ø Define Business area
- Ø Define Functional area with respect to Cost center categories.
- Ø Define Financial Management area.
- Global Parameters:
- Ø Introduction to Global Parameters.
- Ø Fiscal year variant – Types of Fiscal Years (Year-Independent, Year-Dependent and short end fiscal year) and Special periods.
- Ø Posting period variant
- Ø Open and close posting periods
- Ø Introduction to the document
- Ø # Difference between document header and line items
- Ø # Document types
- Ø # Document number ranges
- Ø # Posting keys
- Ø #Tolerance Group for Employees and GL accounts
- Ø # Importance of Entry view and general ledger view.
- Ø Field status variants & Groups
- Ø Variant principles
- Ø Parallel currencies
- Ø VAT registration (Domestic and Foreign VAT registratgion)
- Ø Introduction to multiple ledgers
- Ø Other aspects of global parameter at company code level
- Ø Preparation and finalization of COA in real time.
- Ø Screen variants for G/L postings.
- Ø Brief about master data, Transactional data and Table data in SAP
General Ledger:
- Ø Introduction to GL
- Ø Chart of Accounts operational chart of Accounts, Group chart of accounts and country specific chart of accounts
- Ø Account groups
- Ø Configuration retained earnings account
GL Master Records:
- Ø Creation of GL master record at chart of account area level
- Ø Creation of GL master record at company code level
- Ø Creation of GL master record centrally.
- Ø Configuration of Group chart of accounts.
- Ø Consolidation of GL accounts to Group GL accounts.
End-User Transactions:
- Ø GL postings
- Ø Postings in special posting periods.
- Ø Enjoy screen or single entry screen transaction in GL
- Ø Foreign currency valuation and translation
- Ø Define currency for additional ledgers.
- Ø Park and Hold Document.
- Ø Reference Document postings like-sample Document, Account assignment Model and Recurring Entry Transaction.
- Ø Open item Management-partial clearing, Residual clearingand full clearing.
- Ø Reversals-Individual Reversal, Mass reversal, Cleared itemreversal and
- Ø Reversal and reversal.
- Ø Interest Calculation (Balance interest and Item interest calculation)
NEW GL:
- Ø Importance of New GL and its Advantages.
- Ø Define Segment.
- Ø Define scenarios.
- Ø Define Document Splitting for G/L accounting
- Ø Activate Document splitting.
G/L Reports:
- Ø Month End and Year-End Activities in GL
A/R&A/P, Banking:
- Ø Account Groups.
- Ø Document types for Customer and Vendors.
- Ø Number range group for Account groups.
- Ø Customer and vendor Master Data
- Ø Reconcile Account for Customer and Vendor Master Data.
- Ø Terms of payment.
- Ø Payment methods.
- Ø Automatic payment program.
- Ø Dunning.
- Ø Down payments, Bills of Exchange and Guarantees.
- Ø Tax calculation procedure.
- Ø Taxes-VAT and withholding taxes.
- Ø Credit management.
- Ø Debit and Credit memo.
- Ø Correspondence-(Overview of Smart forms of Correspondence)
- Ø Alternative Reconciliation Account
- Ø Automatic determination of G/L accounts for Taxes, Foreign Exchange (Realized Accounts)
- Ø House Banks
- Ø Manual (BRS)&Electronic Bank statement.
- Ø Check and Transfer method of payments through Banks.
- Ø Check register, Check Maintenance, issuance, Cancellation Etc….
- Ø Customer and vendor reports.
- Ø Z reports and and preparation of functional specs for Z reports.
ASSET ACCOUNTING:
- Ø Chart of depreciation.
- Ø Define 0%tax codes for Asset accounting.
- Ø Asset class and Account determination of Asset Classes.
- Ø Depreciation areas (Derived Depreciation Areas).
- Ø Screen layout rules and Number range Assignments.
- Ø Group assets.
- Ø Calculation methods.
- Ø Depreciation key.
- Ø Delta currencies in Asset Accounting.
- Ø Fiscal year in Asset Accounting.
- Ø Asset master data (Main and Sub Assets).
- Ø Overview of revolution of assets.
- Ø Introduction to inflation Accounting.
- Ø Transaction to inflation Accounting
- Ø Transaction keys.
- Ø Asset Acquisition (Direct and A u C).
- Ø Asset Retirement (Scrapping, with Revenue with Customer and without Customer).
- Ø Inter and Intra Asset Transfers.
- Ø Unplanned Depreciation.
- Ø Asset reports/With Different variants and Asset explorer.
- Ø Strategy on data migration related to Asset (Legacy Assets-Upload process)
- Ø Month End and Year-End Closings in FI.
INTEGRATION:
- Ø FI-MM Integration (Configuration from MM to attain PO, GR and IR.
- Ø Account Assignment Categories in p o and Business process to be used with different Account Assignment Categories.
- Ø Valuation Area. Valuation Class and its Importance in Material Master.
- Ø Accounting aspects from Material Master.
- Ø Material movement types.
- Ø OBYC and G/L account assignments from MM process.
- Ø FI-SD Automatic Accounts determination.
- Ø Revenue Re-Organization process in FI and SD Integration.
- Ø Pp and co integration
SAP CONTROLLING
CONTROLLING AND COST ELEMENT ACCOUNTING:
- Ø Define controlling area.
- Ø Assignment of controlling areas to Company Codes.
- Ø Importance of Different Fields in Controlling Area.
- Ø Real-Time Integration between Co-FI.
- Ø Primary Cost and Secondary Cost Elements.
- Ø Activity type.
- Ø Statical key figures.
- Ø Reposting, Distribution and Assessment.
- Ø Activity type Categories.
- Ø Planning and budgeting of Cost Elements.
- Ø Cost Element categories.
- Ø Cost Element Groups.
- Ø Cost Element reports.
COST CENTER ACCOUNTING:
- Ø Cost Center Hierarchy.
- Ø Cost center Groups.
- Ø Cost Center Categories.
- Ø Define planner Profile, Versions for Planner Profile.
- Ø Planning VS Budgeting of Cost Centers.
- Ø Cost Center Reports.
- Ø Cross-Company Code Transactions.
PERIOD-END ACTIVITIES:
- Ø Assessment and Distribution.
- Ø Internal activity Allocation.
- Ø Internal Settlements.
- Ø Indirect Activity Allocations.
- Ø Price Calculations.
CO-PA:
- Ø Define operating concern.
- Ø Define Characteristics and value fields.
- Ø Define Profitability Segment Characteristics.
- Ø Define Characteristic Hierarchy and Derivation.
- Ø Maintenance and Assignment of value fields.
- Ø Transfer of Billing Documents to COPA.
- Ø Automatic Account Assignment.
- Ø Maintain PA Transfer structure for Direct FI Postings.
- Ø Information System in COPA.
INTERNAL ORDERS:
- Ø Order Management in Controlling Area.
- Ø Define and Assign number ranges to Order Groups.
- Ø Types of orders.
- Ø Model Orders.
- Ø Budgeting and Actual Budget.
- Ø A u C (Assets) Process with Internal Order(real).
- Ø Real Orders and Settlements.
- Ø Investment Management Integration with Internal Orders.
- Ø Month end and final Settlements of internal orders.
- Ø Information system (Reports) for Internal Orders.
PROFIT CENTER ACCOUNTING:&
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