Friday, June 10, 2011

SAP FICO Training @ Learning Hub Pune 093257 93756

Get Trained in SAP Finanace and Controlling Module @ Learning Hub in Magarpatta City by finest trainers who are working in SAP Industry with ample of experience and subject expertise. Learning Hub is committed in providing quality SAP education to the people who have career aspiration in SAP industry.




Learning Hub
SAP Real Time Training With Excellence and commitment
Learning Hub, Erica B -19, Magarpatta City, Pune – 411013:


Ph: 09325793756
Email:
learninghub01@gmail.com


Course Content for SAP Finance and Controlling



  • Enterprise Structure

  • Define Company Company code

  • Business Area Consolidation

  • Business Area

  • Area Credit Control Area

  • Fiscal Year Variant Posting period variant

  • Open and close posting period

  • Define chart of account

  • Account Groups

  • Retained Earnings A/c

  • Document Types

  • Define Number Ranges for Document Types

  • Posting Keys

  • Define Tolerance limit for GL Accounts and Employees

  • Maintaining Field Status Variant

  • Define Tax codes for sales & purchase Enter Global Parameters

  • General ledger accounting

  • Creation of GL Master Data at company code

  • Chart of Account Segment and Centrally Creation of GL Master with reference

  • General Posting of Documents Posting of Sample Documents

  • Posting Parking & Held Documents

  • Releasing of parked documents Fast Data Entry

  • Recurring Entries

  • Define Run Schedules Enter run dates Posting transactions

  • Execute run schedule Create Batch input Session

  • Account Payable

  • Define Account Groups for Vendor Master Data

  • Define Number Range for Vendor Account Group

  • Assign Number Ranges to vendor A/c Group

  • Define Tolerance limit for Customers/Vendors

  • Creation Of Vendor Master Data

  • Define Alternative reconciliation A/c for Vendors

  • Define Accounts for Cash discount taken Posting of Vendor Invoice Vendor payment Down payment Made

  • Partial Payment Residual Payments Parking of Invoice Credit Memo Vendor A/c Clearing

  • Automatic Payment programme(APP) Interest Calculation Configuration

  • Withholding Tax Basic Settings for W/Tax Defining the Calculation Procedure for W/Tax Types and W/Tax Codes Assign W/Tax Procedure to Vendor Posting

Account Receivable



  • Define Customer A/c Group

  • Define and Assign Number Ranges for Customer A/c Group

  • Creation of Customer Master Data

  • Define Alternative Reconciliation A/c

  • Define Cash discount granted Customer invoice and payment entry Customer Down payment

  • Partial and residual payment

  • Parking Invoice Debit Memo Customer Clearing

  • Terms Of Payment

  • Maintain Terms of Payment

Dunning Procedure:



  • Defining Dunning Procedure and Run the Dunning Programme

Bank Accounting:



  • Creation of bank master Data Creation of check lots Void Check Cancellation of checks Bank Reconciliation Statement configurations.


Asset accounting:


Copy reference chart of deprecation Asset class Creation of asset master data Sub asset creation Purchase of asset Sale of asset Transfer of asset Deprecation run
Integration


FI and MM, FI and SD
New General Ledger accounting
Definition of leading and non- leading ledger,
document splitting,
Real time integration with Co and AA Reporting in new GL
Controlling Creation of Controlling Area Define number rangers for documents of co version.