توضیحاتی در مورد کتاب SAP S/4HANA Financial Accounting Configuration: Learn Configuration and Development on an S/4 System
نام کتاب : SAP S/4HANA Financial Accounting Configuration: Learn Configuration and Development on an S/4 System
ویرایش : 2 ed.
عنوان ترجمه شده به فارسی : پیکربندی حسابداری مالی SAP S/4HANA: یادگیری پیکربندی و توسعه در سیستم S/4
سری :
نویسندگان : Andrew Okungbowa
ناشر : Apress
سال نشر : 2022
تعداد صفحات : 475
[461]
ISBN (شابک) : 1484289560 , 9781484289563
زبان کتاب : English
فرمت کتاب : pdf
حجم کتاب : 14 Mb
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توضیحاتی در مورد کتاب :
دانش خود را برای یادگیری S/4HANA، آخرین نسخه سیستم SAP ERP، با فناوریهای هوشمند داخلی، از جمله هوش مصنوعی، یادگیری ماشینی، و تجزیه و تحلیل پیشرفته ارتقا دهید.از آنجا که اولین نسخه این کتاب منتشر شده با عنوان SAP ERP Financial and Controlling: Configuration and Use Management، چشم انداز به طور قابل توجهی تغییر کرده است زیرا S/4HANA اکنون با ویژگی های جدیدی مانند FIORI (GUI جدید)، که بر توسعه سبک برنامه انعطاف پذیر و تعامل با تلفن های همراه تمرکز دارد. همچنین دارای یک ژورنال جهانی است که به یکپارچه سازی داده ها در یک مکان واحد مانند پردازش متمرکز کمک می کند و سریعتر از ECC S/3 است. FI را ادغام می کند
فهرست مطالب :
Table of Contents
About the Author
About the Technical Reviewer
Acknowledgments
Introduction
Chapter 1: Customizing Financial Accounting Enterprise Structure in SAP S/4HANA
Let’s look at the steps involved in this Customizing
Define Company
Define a Company Code
Assign Company Code to Company
Fiscal Year Variant
Year-Specific or Year dependent
Maintain Fiscal Year Variant
Assign Fiscal Year Variant to Company Code
Defining Posting Periods
Define Variants for Open Posting Periods
Assign Variants to Company Code
Open and Close Periods
Summary
Chapter 2: Defining Chart of Accounts
Master Data
Defining Chart of Accounts
Creating Chart of Accounts
Assign Company Code to Chart of Accounts
Define Account Group
Define Retained Earnings Account
Summary
Chapter 3: Document Control
Document Control
Document type
Posting Key
Definition of Number Range Intervals
Defining Document Number Ranges using Copy Subobject Function
How to Delete Number Range Intervals
Creating your number range intervals from scratch
Copy Another Company Code to your Company Code
Copying Number Ranges to Fiscal Year
Field Status Variants
Define Field Status Variants
Assign Company Code to Field Status Variants
Summary
Chapter 4: Defining Tolerance Groups for G/L Accounts and Employees
Tolerance Groups
Define Tolerance Groups for G/L Accounts
Default Tolerance Group:
Define Tolerance Groups for Employees
Define Default Tolerance Groups for Employees
Define Tolerance Groups for Employees
Assign Users to Tolerance Groups
Summary
Chapter 5: Creating a General Ledger (G/L)
General Ledger
GL Reconciliation
What is a Master Record?
Creating G/L Account Master Records
Creating a G/L Account – Office stationery supplies
Creating G/L Account With Template
Summary
Chapter 6: Clearing Open Items
Objective
Clearing Open Items
Automatic Clearing Customizing
Create Accounts for Clearing differences
Define a Maximum Exchange Rate Difference
Check Company Code Setting
Foreign Currency Valuation
Exchange Rate Types
Define Valuation Methods
Prepare Automatic Postings for Foreign Currency Valuation
Interest Costs Using Exchange Rate key (KDB)
Exchange Rate Difference for Open Items/GL Accounts
Exchange Rate Differences for Open Items – Account Payable
Summary
Chapter 7: Maintaining Currency Types and Currency Pairs
Currencies
Exchange Rate types:
Define Standard Quotation for exchange Rates
Enter Prefixes for Direct/Indirect Quotation Exchange Rates
Define Translation Ratios for Currency Translation
Update the following fields
Enter Exchange Rates
Summary
Chapter 8: GR/IR Clearing
Objective
GR/IR Clearing
Invoiced But Not Yet Delivered
Delivered but not yet invoiced
Summary
Chapter 9: Bank
Introduction
Defining House Bank
Define Bank Account for your House Bank
Bank Statement
Electronic Bank Statement
Electronic Bank Statement
Defining Global Settings for Electronic Bank Statement
Creating Account symbols
Assigning Accounts to account symbols
Creating Keys for Posting Rules
Defining Posting Rules
Create Transaction Type
Assign External Transaction Types to Posting Rules
Assign Bank Accounts to Transaction types
Manual Bank Statement
Create and Assign Business Transactions
Define Variants for Manual Bank Statement
Check Deposit
Define Posting Keys and Posting Rules for Check Deposit
Creating Account symbols for Check Deposit
Assigning Accounts to account symbols
Creating Keys for Posting Rules
Defining Posting Rules
Create and Assign Business Transactions
Define Variants for Check Deposit
Summary
Chapter 10: Tax on Sales / Purchases
Sales and Purchases Tax
Basic Settings
Check Calculation Procedure
Define Tax Codes for Sales
Define Tax Account for Output/Sales
Define Tax Codes for Input/Purchases
Define Tax Account for Output/Sales
Assign Taxable Codes for Non-Taxable Transactions
Summary
Chapter 11: Cash Journal
Objective
Introduction
Create G/L Account for Cash Journal
Specify the Amount Limit for a Cash Journal
Define Number Range Intervals for Cash Journal Documents
Set Up Cash Journal
Maintain Business Transactions
Set up Print Parameters for Cash Journal.
Summary
Chapter 12: Financial Statement Versions (FSV)
Objective
Financial Statement Versions
Define Financial Statement Versions
Step 1: Create Items
Step 2: Assign Items to your FSV as Subordinates
Change Nodes Texts
Creating Subordinates for Liabilities and Equity
Completing the Nodes for your FSV
Step 3: Assign FSV Nodes to G/L Accounts
Step 4: Define the Credit/Debit Shift
Check Assigned G/L Accounts to FSV
Summary
Chapter 13: Integration of FI with other SAP S4 HANA modules
Integrate FI with Other SAP Modules
Material Management (MM)
Configuring Automatic Postings
Offsetting Entry for Inventory Posting
Integration with Sales & Distribution (SD).
Prepare Revenue Account Determination
Summary
Chapter 14: Accounts Receivable and Accounts Payable
Accounts Payable and Accounts Receivable
Customer Accounts
What is Customer Account Group?
The importance of Account Group
Defining Accounts Groups with Screen Layout (Customer)
Maintaining the Filed Status Group for General Data of the Customer Account Group
Enter Accounting Clerk Identification Code for Customers
Creating Number Ranges for Customer Account Groups
Assigning Number Ranges to Customer Account Groups
Vendor Accounts
What is Vendor Account Group?
The importance of Vendor Account Group
Defining Account Groups with Screen Layout (Vendors)
Maintaining the Filed Status Group for General Data of the Vendor Account Group
Enter Accounting Clerk Identification Code for Vendors
Creating Number Ranges for Vendor Account Groups
Assigning Number Ranges to Vendor Account Groups
Terms of Payment
Cash Discounts
Maintaining Terms of Payment (Customer)
Installment Plan
Maintaining Terms of Payment for an Installment Plan
Defining the Payment Terms for Instalment Payments
Defining Cash Discount Base for Incoming Invoices
Incoming Invoices Credit Memos /Credit Memos – Enjoy
Enjoy Transaction
Defining Document Types for Enjoy Transaction
Defining Tax Code per Transaction
Cash Discount
Cash Discount Granted
Defining Accounts for Cash Discount Granted.
Define Account for Cash Discount Taken
Defining Account for Overpayments/Underpayments
Defining Accounts for Bank Charges (Vendor)
Defining Payment Block Reasons
Manual Outgoing Payments
Defining Tolerances for Vendors
Defining Reason Codes (Manual Outgoing Payments)
Defining Accounts for Payment Differences (Manual Outgoing Payments)
Automatic Outgoing Payments
All Company Codes
Paying Company Codes
Payment Methods per Company Codes
Bank Determination for Payment Transactions
Ranking Order
Bank Accounts
Available Amounts
Sort Methods and Adjustment Accounts for Regrouping Receivables/Payables
Define Sort Methods
Period Interval for Receivables
Define Adjustment Accounts for Receivables/Payables by Maturity
Receivable Due Within One-Year
Receivables Due After One Year
Adjustment Posting/Reversal
Permit Negative Postings
Define Reasons for Reversal
Summary
Chapter 15: Defining the Dunning Procedure
Dunning
Dunning procedure
Basic Settings for Dunning
Define Dunning Procedures
Defining Dunning Levels
Maintaining Charges
Maintaining Minimum Amounts
Dunning texts
Special GL Indicator
Assigning Dunning Procedure to Customer Master Data
Summary
Chapter 16: Special GL Transactions
Objective
Special G/L Transactions
Special GL - General Ledger types
1. Automatic Offsetting Entry
2. Noted Items
3. Free Offsetting Entry
Configuration of Special GL Transactions.
Down Payments
Introduction
Down Payment Received
Reconciliation Accounts for Customer Down Payments
Down Payment Requests (Customer)
Defining Reconciliation Accounts for Customer Down Payments Request
Defining Account for Tax Clearing (Down payments Customer)
Down Payment Made
Reconciliation Accounts for Vendor Down Payments
Down Payment Request for Vendors
Defining Account for Tax Clearing (Down payments – Vendor)
Guarantees
Defining Alternative Reconciliation Accounts for Vendors (Guarantees)
Defining Accounts for Automatic Offsetting Entry
Summary
Chapter 17: Ledgers
Defining Accounting Principles
Defining Ledger Group
Assigning Accounting Principle to Ledger Groups
Defining Ledger Settings for Ledgers and Currency Types
Update the following field:
Define Settings for Ledgers and Currency Types
Summary
Appendix A: Some Useful Transaction Codes
Index
توضیحاتی در مورد کتاب به زبان اصلی :
Upgrade your knowledge to learn S/4HANA, the latest version of the SAP ERP system, with its built-in intelligent technologies, including AI, machine learning, and advanced analytics.Since the first edition of this book published as SAP ERP Financial and Controlling: Configuration and Use Management, the perspective has changed significantly as S/4HANA now comes with new features, such as FIORI (new GUI), which focuses on flexible app style development and interactivity with mobile phones. It also has a universal journal, which helps in data integration in a single location, such as centralized processing, and is faster than ECC S/3. It merges FI & CO efficiently, which enables document posting in the Controlling area setup. General Ledger Accounts (FI) and Cost Element (CO) are mapped together in a way that cost elements (both primary and secondary) are part of G/L accounts. And a mandatory setup of customer-vendor integration with business partners is included vs the earlier ECC creation with separate vendor master and customer master.
This updated edition presents new features in SAP S/4HANA, with in-depth coverage of the FI syllabus in SAP S/4HANA. A practical and hands-on approach includes scenarios with real-life examples and practical illustrations. There is no unnecessary jargon in this configuration and end-user manual.
What You Will Learn- Configure SAP FI as a pro in S/4
- Master core aspects of Financial Accounting and Controlling
- Integrate SAP Financial with other SAP modules
- Gain a thorough hands-on experience with IMG (Implementation Guide)
- Understand and explain the functionalities of SAP FI
Who This Book Is For
FI consultants, trainers, developers, accountants, and SAP FI support organizations will find the book an excellent reference guide. Beginners without prior FI configuration experience will find the step-by-step illustrations to be practical and great hands-on experience.