
Introduction to the Course
Introduction to SAP ERP
SAP ABAP/4 Language
What is SAP R/3?
Development view of R/3 (System Landscape/Client-Server Approach)
Hardware view of R/3 (Presentation server, Application server and Database server)
What is a Client?
What is ERP?
SAP Product offerings as per company-size
SAP's new dimensional products/applications
SAP's Industry-specific solutions
Introduction to SAP ERP
Benefits of SAP
Introduction of SAP NetWeaver
ASAP Methodology
Different Phases to implement SAP
SAP Team Mapping (Functional/Technical Consultants & Business Users)
Introduction of different Business Blueprint documentations
What is GAP Analysis?
Introduction of WRICEF Elements
Introduction of AS-IS and TO-BE Methodology
Overview of Enterprise - Organizational Structure
Introduction of Software Testing (UT, IT, DT, UAT, RT), HPQC and QT
Introduction of Data migration and cut-over strategies
Introduction to SAP GUI
SAP Navigation
Three different ways to access transactions in SAP
SAP GUI options (Theme, Local Data, Font etc.)
SAP system status, version and component information
Overview of IMG (Implementation Guide)
User Maintenance
Overview of Transport Organizer
Overview of existing Clients in the system
Enterprise Structure in IMG (Implementation Guide)
Defining the Company
Automatic recording of changes in the Client settings (Customizing request dialogue box)
Introduction and creation of Company code
Change the Company code details
Definition
Introduction and creation of Business Areas
Introduction and creation of Consolidated Business Area
Global parameters for Company code
Introduction of Functional Area
Introduction of FM Area
Introduction of Credit Control Area
Overview of Controlling, LG, SD, MM, LE, HR in Enterprise structure
Assignment
Assignment of company code to company
Assignment of company code to credit control area
Assignment of business area to consolidated business area
Hierarchy levels
Introduction of 3-step methodology of Variant Principle
Three types of Variants (Fiscal Year Variant, Posting Period Variant & Field Status Variant)
Fiscal Year (with Shortened Fiscal Year) Variant
Year dependent Fiscal Year
Year Independent Fiscal Year
Calendar Fiscal Year
Non-calendar Fiscal Year
Introduction of Shortened Fiscal Year
Introduction of Fiscal Year standard templates
Creation of Fiscal Year Variant (Non-calendar Fiscal Year)
Introduction of Special Periods
Creation of Posting Period Variant
Define the values for Open and Close Posting Periods
Assignment of Posting Period Variant to the company code
Introduction of Currencies (3 methods)
Reference/Base Currency
Exchange rate spread
Inversion
Check Exchange Rate Types (SAP NetWeaver)
Introduction of 3 Types of Exchange Rate
M (Average exchange rate)
B (Bank selling rate)
G (Bank buying rate)
Introduction of inversion method (Direct and Indirect quotation)
Enter Exchange Rates (SAP NetWeaver)
Introduction of Alternative Exchange Rate Type (EURX, EURO)
Maintain Exchange Rate Spreads (SAP NetWeaver)
Overview of Transport Organizer Requests
Chart of Accounts (General Ledger)
What is Master Data?
Introduction of Chart of Accounts (Highest level of hierarchy in GL Accounts)
Three types of Chart of Accounts
Operative or Company Code Chart of Accounts
Group Chart of Accounts (Consolidated Financial Statements)
Country Chart of Accounts
Introduction of Chart of Accounts Segment and Company Code Segment
Different transaction codes for the creation of different chart of accounts
Creation of Operative or Company Code Chart of Accounts
Assignment of chart of accounts to the company code
Account Groups
Introduction and creation of Account Groups (Assets, Liabilities, Expenses and Income)
Define Retained Earnings Account (P&L statement account type symbol: +)
Introduction of Field Status Variant and Field Status Group
Introduction of G/L Account Groups Field Status and its Priority Level: (Suppress, Display, Req. Entry, Opt. Entry)
Creation of Field Status Variant and Field Status Group
Introduction of how to display the transaction code through Additional information
Transaction code: OBC4 to change Field Status Variant
Assignment of field status variant to the company code
General Ledger Master Data - TC: FS00
Creation of GL Accounts (Chart of Accounts Segment and Company Code Segment)
External number range for the GL Accounts
Alternative account number
The concept of Open item management and Line item display
Creation of Reconciliation Account (Assets), Retained Earnings account (Liabilities), P&L accounts (Expense & Revenue)
Introduction of Sort Key for Line item display
Field Status Groups for Expense and Revenue accounts
Introduction of Chart of Account information: TC: F.10
Accounts Receivable/Customer Master Record
Introduction of 3 Segments: General data (FI), Company code segment (FI) and Sales area segment (SD)
Difference between Decentrally and Centrally Master data
Preparations for creating Customer Master data (IMG)
Define Account Groups with Screen Layout (Customers)
Creation of Customer Account Group with/without One-time account
Overview of Screen Layout per Company code (Customers)
Overview of Screen Layout per Activity (Customers)
Overview of Change Message control for Customer master data
Overview of defining Industries
Creation of Number Ranges for Customer Accounts
Internal and External Number Ranges (Alpha-numeric)
Assignment of Number ranges to Customer account groups
Creation of Customer Master Data (Easy access)
Introduction of SAP GUI options to show keys within dropdown list
Accounts Payable/Vendor Master Record
Introduction of 3 Segments: General data (FI), Company code segment (FI) and Purchasing area segment (MM)
Creation Number Ranges for Vendor Accounts
Internal and External Number Ranges (Alpha-numeric)
Assignment of Number ranges to Vendor account groups
Creation of Vendor Master Data (Easy access)
Bank Master Data
Define House Banks
Set Country-Specific Checks (SAP NetWeaver)
Creation of Bank Master Data (Easy Access)
Document Control and Structure
Header Level and Item Level
Document Type (Controls the Header Level, Number Ranges and Account Types)
Posting Keys (Controls the Item Level, Field Status and Account Types)
Simple Documents in Financial Accounting
Creation of G/L Account Document (TC: FB50)
Accounting Editing Options (Doc. Type option, Display periods)
Introduction of Controlling Area hierarchy to fix the issue (Same chart of accounts and fiscal year variant)
Maintain Controlling Area
Assignment of Company code to the Controlling
Maintain Number Ranges for CO Document
Posting of G/L Account Document
Document Display with Ledger 0L, Header and Item Information (TC: FB03)
Creation and Posting of G/L Account Posting (TC: F-02)
Enter rate INR/GBP rate type M (SAP NetWeaver)
Activation of components/control indicators for Controlling Area
Display/Change Line Items (TC: FBL3N)
Display G/L Account Balances (TC: FAGLB03)
Reference Documents
Account Assignment Model (TC: FKMT and TC: FB50)
Recurring Model with the reference of Account Assignment Model (Periodic Processing – TC: F.15)
Recurring Entries List (Periodic Processing – TC: F.15)
Recurring Entries Execute (Periodic Processing – TC: F.14)
Batch Input Session (TC: SM35)
Creation of Accounts Receivable/Customer Invoice (TC: FB70 or F-22)
Document Display (TC: FB03)
Display Currency for Document
Display/Change Line Items (TC: FBL5N)
Display Balances (TC: FD10N)
Creation of Accounts Payable/Vendor Invoice (TC: FB60 or F-43)
Document Display (TC: FB03)
Display Currency for Document
Display/Change Line Items (TC: FBL1N)
Display Balances (TC: FK10N)
Customer/Vendor Credit Memo
One-time Customer/Vendor
Document Display
Display/Change Line Items
Display Balances
Posting Period Variant (End-User)
Materials Management View on Company Codes
Posting Authorizations
Definition and Assignment of Tolerance Groups to Users/Employees
Customization for Line items Layout and Screen Variant for Line Item Display and Reporting
Posting Control
Default Values
Document Type
Posting Key
Document Changes
Document Change Control
Document Reversal
Normal Reverse Posting
Negative Reverse Posting
Payment Terms and Cash Discount
Post with Clearing – Incoming and Outgoing Payments (Cash Discount)
Account Clearing – Credit Memo
GL Document Posting and Clearing
Exchange Rate Differences
Taxes (Input tax and Output tax)
Clearing – Payment Differences
Payment Differences
Partial Payment
Residual Items
Tolerance Groups (G/L, Customers/Vendors)
Reset Cleared Items
Special G/L transactions
Configuration of Special G/L Transactions
Down Payment Received
Down Payment Made
Cash journal (Bank Accounting)
Cash Journal Configuration
Cash Journal Transaction
Parking and Holding Documents
Basics of Document Parking Versus Hold Document
Parking Documents and Processing Parked Document
Validations and Substitutions
Automatic Payment Program (APP)
Payment Run – Overview
Payment Program Configuration
Running the Payment Program
Edit the Payment Proposal
Debit Balance Check
Automatic Dunning Program
Dunning Run - Overview
Dunning Program Configuration
The Dunning Run
Edit the Dunning Proposals
Printing Dunning Notices
Correspondence
Correspondence – Overview
Correspondence Types
Standard Reports in General Ledger Accounting, Accounts Receivable and Accounts Payable, Balance Sheet and Profit & Loss Statement
Financial Statement Version
Introduction to Controlling
Integration between FI and CO
Cost Element Accounting
Primary Cost Elements and Secondary Cost Elements
Cost Centre Accounting
Creation of Cost Centres
Profit Centre Accounting
Creation of Profit Centres
Actual/Plan Data
Cost Elements/Activity Input Planning (Primary Cost Element)
Activity Type/Price Planning (Activity Type/Secondary Cost Element)
Actual Flow of data from FI / Variance
Cost Centre Reports/Profit Centre Reports
Distribution and Assessment (Month-End Closing / Year-End Closing)
Internal Order
Organizational Structures
Chart of Depreciation
Account determination
Screen Layout rules
Number ranges
Asset Classes
Integration with the General Ledger
Assign G/L Accounts
Depreciation
Valuation Methods – Depreciation Keys
Valuation – Depreciation Areas
Determination of Depreciation Areas
Master Data (Configuration)
Screen Layout for Master data and Depreciation Areas
Transactions and Information System
Transaction types to Depreciation Areas
Define or Assign Forms (History Sheet)
Cost Centres/Profit Centres for Assets
Master Data and Postings
Asset Master Records
Asset Acquisition
Asset Retirement
Assets under Construction (AuC)
Intracompany/Intercompany Asset Transfer
Miscellaneous Posting (Add the Acquisition Value)
Periodic Processing
Depreciation Posting
Fiscal Year Change
Year-End Closing (Asset Accounting)
Information System
Report Selection
Year - end Closing (Foreign Currency Valuation, Accounts Payable, Accounts Receivable and General Ledger)
New General Ledger
Introduction
Ledger Definition
Document Splitting
Segment Reporting
Periodic Processing and Information System (New)
Cross-Company Code Transactions
Integration of CO with FI (New GL)
Integration of FI with MM and SD
SAP Data Migration through LSMW
SAP FICO Course will prepare the students to learn and understand all the end-to-end implementation steps to configure SAP FI and CO modules for any organization.
The course also highlights the necessary documentation and methodology which are used in SAP FICO implementation projects.
After this course, the students will be able to identify and analyse the business requirements of any organization for Record to Report process cycle and to configure SAP FICO modules accordingly.
Disclaimer: SAP and other products of SAP mentioned in the training is a trademark or registered trademark of SAP SE, Germany. I am not related or affiliated to that.