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SAP
SAP FICO
SAP FICO Training Course: Best SAP Training & Certification
SAP FICO Training Course: Best SAP Training & Certification
INTRODUCTION
Introduction Video
FINANCIAL ACCOUNTING
Introduction To EPR SAP
Basic Business Functions
Application In SAP
R/3 Architecture
User And Role Map Creations
ENTERPRISE STRUCTURE
Define Company
Define Credit Control Area
Edit, Copy, Delete, Check Company Code
Define Functional Area
Maintain Consolidation Business Area
Maintain Financial Management Area
Assign Company Code To Company
Assign Business Area To Consolidation Business Area
Assign Controlling Area To Consolidation Business Area
Assign Controlling Area To Financial Management Area
FINANCIAL ACCOUNTING GLOBAL SETTINGS
ENTER Global Parameters
Fiscal Year Setting
Posting Periods
Define Document Types
Define Posting Keys
Maintain Field Status Variants
Indicate Currency Differences For Partial Payments
Define Text IDs For Documents
Maximum Exchange Rate Differences
Define Texts For Line Items
Default Values For Document Processing
CHART OF ACCOUNTS LIST
Define Country Specific Chart Of Accounts
Define Operative Chart Of Accounts
Define Account Group
Define Retained Earnings Account
Sample Accounts
Block/Unblock GL Accounts
G/L Account Creation And Processing
Delete G/L Account
Delete Chart Of Accounts
Block/Unblock Chart Of Accounts
GENERAL LEDGER
Define Tolerance Groups For G/L Accounts
Define Tolerance Groups For Employees
Assign Users To Tolerance Groups
General Document Posting
Sample Document
Recurring Entry Document
Parked Documents
Hold Documents
Reverse Document
Open Item Management
Incoming Payments
Outgoing Payments
Manual Clearing
Automatic Clearing
Foreign Currency Posting
Foreign Currency Valuation
Enter Accrual/Deferral Doc
Work List Preparations
Reset Cleared Items
Display Balances (With Variant)
Business Area Overview Report
Editing Options
Control Totals
Correspondence Internal Document
Account Assignment Model
Define Group Chart Of Accounts
Multiple Currencies
Set Company Code To Productive
ACCOUNTS RECEIVABLE
Define Account Groups With Screen Layout (Customers)
Create Number Ranges For Customer Accounts
Assign Number Ranges To Customer Accounts Groups
Define Tolerances For Customers/Vendors
Define Tolerance Groups For Employees
Assign Users To Tolerance Groups
Customer Document Posting
Down Payment
Bill of Exchange
Dunning
CROSS-COMPANY CODE TRANSACTIONS
Cross Company Code Transactions In G/L
Cross Company Code Transactions In A/R
Cross Company Code Transactions In A/P
Cross Company Code Transactions In Asset Accounting
Cancellations Of Cross Company Code Transactions
FINAL PREPARATIONS
Define Financial Statement Versions
Display Of Trial Balance
Display Of GL Balance
Display Of A/R Balance
INTEGRATION WITH MM
Movement Types
Valuation Class
Valuation Area
Process Key
Valuation Grouping
Material Types
Define Plant
Define Division
Maintain Storage Location
Maintain Purchasing Organization
Assign Plant To Company Code
Assign Business Are To Plant/Valuation Area And Division
Assign Purchasing Organization To Company Code
Creation Of Material Group
Maintain Company Code For Material Management
Define Attributes Of Martial Types
Set Tolerance Group For Purchase Orders
Set Tolerance Limits for Goods Receipt
Plant Parameters
Maintain Default Values For Tax Codes
Set Tolerance Limits For Invoice Verification
Define Automatic Status Change
Group Together Valuation Areas
Configure Automatic Posting
Document Type And Number Ranges
Interest Calculation
Display Of A/P Balance
Display Of ASSETS Balances
Balance Carry Forward Process
Month Ending Activates
Year Ending Activates
LSMW
FI-CO Tables
Structure Of Account Balances
Automatic Clearing
Maintain Terms Of Payment
Define Terms Of Payment For Installation Payments
Define Accounts For Cash Discount Granted
Define Accounts For Overpayments / Underpayments
Define Accounts For Exchange Rate Differences
ACCOUNTS PAYABLE
Define Account Groups With Screen Layout (Vendors)
Create Number Ranges For Vendor Accounts
Assign Number Ranges To Vendor Account Groups
Define Tolerance For Customers/Vendors
Define Tolerance Groups For Employees
Assign Users To Tolerance Groups
Vendor Document Posting
Down Payment
Bill Of Exchange
Define Accounts For Cash Discount Taken
Define Accounts For Exchange Rate Differences
Define Accounts For Bank Charges (Vendors)
Define Accounts For Overpayments / Underpayments
Automatic Payment Program
Charge Of Differences
CHECK MANAGEMENT
Individual Check Payment
Excise Duty
Withholding Tax
BANK ACCOUNTING
Define House Bank
Bank Account Interest Calculation
Cash Journals
Check Deposit
B.R.S
Post Date Check
Check Bouncing
ASSET MANAGEMENT
Copy Chart Of Depreciation
Creation Of 0% Tax Codes
Assign Tax Codes For Non-Taxable Transactions
Assign Chart Of Depreciation To Company Code
Specify Account Determination
Create Screen Layout Rules
Define Asset Classes
Define Number Ranges
Creation Of GL Accounts
Integration With GL
Determine Depreciation Areas In Asset Classes
Define Screen Layout For Asset Master Data
Define Screen Layouts For Asset Depreciation Areas
Manual Check Payment
Check Register
Check Encashment
Check Renumber
Reprint Check
Unused Checks Cancellation
Issued Checks Cancellation
Cancel Payment
Delete For payment Run
Delete Manual Checks
Data Takeover
Balances Uploading
Closing Procedures
TAXES
Vat Act
Cst Act
How To View Sub Asset Value Balances
How To View The Asset Balances
Depreciation Run
Sale Of Asset
Transfer Of Asset
Scraping Of An Asset
Asset Under Constructions
Material Master Creation
To Open Material Periods
Purchase Order Creation
Goods Receipts
Invoices Verification
Goods Issue For Consumption
Display Material Ledger
Display Material Documents
INTEGRATION WITH SD
Define Sales Organization
Define Distribution Channel
Define Shipping Point
Assign Sales Organization To Company Code
Assign Distribution Channel To Sales Organization
Assign Division To Sales organization
Define Number Ranges For Depreciation Postings
Specify Intervals And Posting Rules
Specify Round Up Net Book Valuation
Depreciation Keys
Define Base Method
Define Declining Balance Methods
Define Multi Level Methods
Define Period Control Methods
Define Depreciation Key
Asset Master Creation
Creation Of Sub-Asset
Asset Purchase Posting
Define Credit Controlling Area
Decentralized Credit Managements
Central Credit Managements
Credit Controlling Are Currency-Central Organizations
Assigning Credit Controlling Are For Company Codes
Assigning customer-Credit Controlling
Creating Credit Data
Credit Limits For Groups Of Customers
Displaying Credit Limits
Postings Without Credit Limit Checks
Automatic Credit Control
INTEGRATION WITH HR
Define Symbolic Accounts
Defining Wages Types
Mapping Wages Types To Symbolic Accounts
Mapping Symbolic Accounts To GL Accounts
Payroll Posting To Accounting
Retroactive Posting With Amount Changes
Setup Sales Area
Assign Sales Organization Distribution Channel-Plant
Define Rules By Sales Area
Assign Shipping Point To Plant
Define Pricing Procedure Determination
Define Tax Determination Rules
Assignment Of Accounts For Automatic Postings
Setup Partner Determination
Assign Shipping Points
Creation Of Condition Types
Sales Orders Creation
Delivery
Billing Document
FI/SD CREDIT MANGEMENT
Reverse Posting
Check Completeness
Utilizing The Payment Program
CONTROLLING
Maintain Controlling Area
Activate Control Indicators/Components
Assigns Company Code
Plan Versions
Maintain Controlling Document Number Ranges
COST ELEMENT ACCOUNTING
Create Primary/Secondary Cost
Elements
Cost Element Group
COST CENTER ACCOUNTING
Creation Of Cost Center Std. Hierrachy
Efine Cost Center Categories
Creation Of Cost Center Group
Creation Of Cost Center
Statistical Key Figures Creations
Statistical Posting(Actual)
Statistical Posting (Plan)
Activity Types Creations
Activity Types Posting (Actual)
Activity Types Posting (Plan)
Direct Activity Allocations
Indirect Activity Allocations
Activate Inactive Cost Centers
Posting With Cost Center
Planning Of Cost Center
Distribution Methods (Actual)
Distribution Methods (Plan)
Assessment (Actual)
Assessment (Plan)
Maintain Number Ranges For Settlement Documents
Settlement Of Internal Order To Cost Centers
Apportionment Of Cost Between Internal Orders
Settlement Of Internal Orders
Budgeting And Availability Control
Maintain Budget Profile
Maintain Number Ranges for Budgeting
Define Tolerance Limits for Availability Control
Specify Exempt Cost Elements From Availability Control
Maintain Budget Manager
PROFIT CENTER ACCOUNTING
Maintain Controlling Area Setting
Periodic Reposting (Actual)
Periodic Reposting (Plan)
Period Lock
Reconciliation Ledger
Accrual Orders
Manual Reposts Of Costs
Reverse Manual Reposts Of Costs
Repost Line Items
Reverse Repost Line Items
Manual Cost Allocation
Cost Center Budgets
Price Calculation
Goods Issue To Cost Center
Goods Returned By The Cost Center
Commitment Managements
INTERNAL ORDERS
Creation Of Internal Order Type
Creation Of Internal Order
Creation Of Internal Order Group
Creation Of Number Range
Actual Posting To Internal Group
Maintain Allocation Structures
Maintain Settlement Profiles
Maintain Assignment Of SD Conditions To co-ap Value Field
Maintain Assignment Of MM
Conditions To co-ap Value Field
Maintain PA Structures For Direct Posting
Activate Profitability Analysis
Define Forms
Create Profitability Reports
PRODUCT COSTING
Creation Of Activity Type
Define Overhead Keys
Define Overhead Group
Define Calculation Bases
Define Percentage Overhead
Creation Of Profit Cost Center Group
Create Dummy Profit Center
Creation Of Profit Center
Assign The Profit Center To Cost Center
Set Control Parameter For Actual Data
Maintain Plan Versions
Define Number Ranges For Local Documents
Creation Of Revenue Elements
Maintain Automatic Account Assignment Of Revenue Elements
Choose Additional Balances Sheet Profit And Loss A/c
Creation Of Account Groups
Planning Of P&L Items
Planning Of Balances Sheet Items
Profit Center Reports
PROFITABILITY ANALYSIS
Define Operating Concern
Define Profitability Segment Characteristics
Assign Controlling Area To Operating Concern
Define No Ranges For Actual Posting
Define Ledgers For General Ledger Accounting
Define Currencies Of Leading Ledger
Define And Activate Non-Leading Ledgers
Define Ledger Group
Entry View And General Leader View For Financial Accounting Documents
DOCUMENT SPLITTING RATES
Define Credits
Define Costing Sheet
Assign Costing Sheet To Costing Variant
Define Cost Component Structures
Define Persons Responsible For Work Center
Define MRP Controller
Define Floats
Define Production Scheduler
Planning For Machine Hours
Machine Down Rate Calculations
Creation Of Bill Of Material
Creation Of Work Center
Creation Of Routing
Creation Of Cost Estimate The Quality Structure
NEW GENERAL LEDGER ACCOUNTING
Possibilities With New General Ledger
Benefits Of New General Ledger Accounting
Activating Of New General Ledger Accounting
Leading Ledgers And Non Leading Ledgers
Assign Scenarios And Customer Fields To Ledgers
Define Segment
Assignment Of Segment
Classify G/L Accounts For Document Splitting
Classify Document Types For Document Splitting
Define Zero-Balance Clearing Account
Define Document Splitting Characteristics For General Ledger Accounting
Define Document Splitting Characteristics For Controlling
Define Post-Capitalization Of Cash Discount To Assets
Define Document Splitting Method
Define Document Splitting Rule
Assign Document Splitting Method
Define Business Transaction Variants
INTEGRATION WITH NEW GL
Integration With Account Payables
Integration With Account Receivables
Integration With Asset Accounting
Integration With Controlling
Integration With Martial Management
PARALLEL ACCOUNTING
Define Valuations Area
Define Valuations Method
Asian Valuations Areas And Valuations Method
Define Accounting Principles
Assign Accounting Principle To Ledger Groups
Assign Accounting Principle To Valuations Areas
Foreign Currency Valuation For Open Items
FUNCTIONAL AREA FOR COST OF SALES ACCOUNTING
Define Functional Area
Activate Cost Of Sales Accounting For Preparation
Enter Functional Area In G/L Account Master Data
Enter Functional Area In Cost Element Master Data
Enter Functional Area In Cost Center Categories
Financial Statement Preparations For Cost Of Sales Accounting
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