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ONLINE TRAINING FOR SAP FI/CO

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By: Joseph | 05 Mar 2010 11:10 am

ONLINE TRAINING FOR SAP FI/CO

Up Coming Batches: 6th March 2010

Duration of Course: 40 hours (20 Days)
Duration of Class: 120 minutes a day(90 mins session & 30 min Q&A and hands-on)

The course includes detailed training material with lab exercises and 24x7 system access.

SPECIAL POINTS TO NOTE IN TRAINING

 

FI/CO

Duration : 40 Hrs

Course Content :

 

 

Introduction to SAP R/3

  • Introduction to ERP, Advantages of SAP over other ERP Packages
  • Introduction to SAP R/3 FICO

Financial Accounting Basic Settings:

  •  Creation and assignment of company and company code
  •  Creation of business area
  •  Defining and assignment of fiscal year variant
  •  Defining and assignment of posting period variant
  •  Defining open and closing posting periods
  •  Defining document type & number ranges
  •  Maintenance and assignment of field status variants
  •  Defining and assignment of tolerance groups of employees
  •  Taxes on Sales & Purchases (input & output)
  •  Creation of chart of Accounts
  •  Defining Accounts Groups
  •  Defining Retained Earnings Account.
  •  Defining tolerance groups for G/I accounts

General Ledger Accounting:

  •  Creation of General Ledger Master (with and with out reference)
  •  Display/Change/Block/Unblock of general ledger master
  •  Document Entry posting normal postings posting with reference
  •  Display and change of documents
  •  Display of GL balances and Line items
  •  Parked documents & hold documents
  •  Creation of Sample Document and posting
  •  Defining recurring entry document and posting
  •  Creation of account assignment model and posting
  •  Configuration of line layouts for display of GL line items
  •  Reversal of individual documents, mass reversal , reversal of cleared items and reversal of accrual and deferral documents
  •  Defining Exchange Rate types and Translation ratios
  •  Define Exchange rates & posting of foreign currency transactions
  •   Interest calculations on term loans

Accounts Payable

  •  Creation of vendor account groups and assignment of number ranges
  •  Creation of tolerance group for venders
  •  Creation of vendor master (display/change/block/unblock of vender master)
  •  Posting of vendor transactions (invoice posting, payment posting, credit memo)
  •  Settings for advance payments to parties (down payment) and clearing of down payment against invoices (special GL transactions)
  •  Posting of partial Payment & Residual Payment
  •  Creation of payment terms,
  •  Creation of house banks and account ids.
  •  Creation of check lots and maintenance of check register
  •  Configuration of automatic payment program
  •  Payment to vendors through APP
  •  Un-issued & issued checks cancellation and reversal of issued checks.
  •  Defining correspondence & party statement of accounts

Accounts receivable:

  •  Creation of customer account groups and assignment of number ranges
  •  Creation of tolerance group for customers
  •  Creation of customer master (display/change/block/unblock of vender master)
  •  Posting of customer transactions (sales invoice posting, payment posting, debit memo)
  •  Settings for advance payment from parties (down payment)
  •  Configuration of settings for dunning
  •  Defining correspondence & party statement of accounts

Asset Accounting

  •  Defining chart of depreciation
  •  Defining account determination, screen layout, number ranges and asset classes.
  •  Integration with General Ledger & Posting rules
  •  Creation of asset master and sub asset master (change/display/block/unblock)
  •  Defining Depreciation key (base, declining, multilevel, period control methods)
  •  Acquisition or purchase of assets, sale of assets
  •  Scrapping of assets, Transfer of assets
  •  Post Capitalization and write up
  •  Depreciation run
  •  Line Settle of assets under construction of capital work in progress

Reports

  •  1.Financial statement version(preparation of profit and loss a/c and balance sheet)
  •  General Ledger, Accounts Payable, Accounts Receivable and Assets Reports

 CONTROLLING Basic settings for controlling

  •  Defining Controlling Area
  •  Defining Number ranges for Controlling Area
  •  Maintain Planning Versions
  •  Creation of Primary and Secondary Cost Elements
  •  Creation of Cost Element Groups
  •   primary cost element categories and secondary cost element     categories

Cost Center Accounting

  •  Defining Cost Center Standard Hierarchy
  •  Creation of Cost Centers and cost center groups
  •  Planning for cost center, posting to cost centers
  •  Repost of Costs
  •  Overhead Calculation
  •  creation and execution of assessment cycles
  •  cost center reports

Internal Orders

  •  Defining order types
  •  Creation of internal orders
  •  Planning of internal orders
  •  Postings to internal order
  •  Report of Variance analysis
  •  statistical internal orders

Profit Center Accounting

  •  Basic Settings for Profit Center Accounting
  •  Creation of Dummy Profit Centers
  •  Maintaining versions for profit centers
  •  Creation of profit centers and profit center groups
  •  Creation of revenue cost elements
  •  Automatic Assignment of Revenue elements for Profit Centers
  •  Postings to profit centers, planning and variance reporting

Profitability analysis

  •  defining the operating concern
  •  activating the profitability analysis
  •  creation of data structures
  •  fallow of actual values
  •  creation of reports
  •  Execution of reports.  

Sample Project

 

  • Complete End to end development of Project Life Cycle.

 

Please contact us for further details

Mail Us: jastiarthur_joe@yahoo.com

              joe@eworldclasses.com

 

Contact Us: 040-40025468

                    302 355 0496

 

 

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