Duration:
2 Hours/day – 1 Hour Theory, 1 Hour Practical
4 Hours/day – 2 Hours Theory, 2 hours Practical
Course Content:
Introduction
- Introduction to ERP Systems
- Introduction to SAP
Enterprise Structure
- Defining company
- Configuring company code
- Defining business area
- Maintaining consolidation business area
- Defining credit control area
- Assigning company code to company
- Assigning company code to credit control area
- Assigning business area to consolidation business area
Financial Accounting Global Settings
- Maintaining fiscal year variant
- Assigning fiscal year variant to company code
- Defining posting periods
- Defining open and close posting periods
- Assigning variant to company code
- xdocument types
- Defining document number ranges
- Defining posting keys
- Defining field status variant
- Assigning field status variant to company code
- Defining tolerance groups for employees
General Ledger Accounting
- Defining chart of accounts
- Assigning chart of accounts to company code
- Defining account groups
- Defining retained earnings account
- Creating GL accounts
- Postings
- Parking the document
- Sample document
- Reversal entries
- Recurring document
Accounts Receivable
- Creating customer groups
- Creating number ranges
- Assigning number ranges to customer groups
- Creating main ledger
- Creating sales account
- Creating customer
- Raising sales invoice
- Incoming payments
- Cash discounts
- Down payment
- Interest calculation
- Credit memo
- Dunning
Accounts Payable
- Creating vendor groups
- Creating vendor ranges
- Creating ranges to vendor groups
- Creating main ledger
- Creating material account
- Creating vendor
- Raising vendor invoice
- Outgoing payments
- Cash discounts
- Interest calculation
- Down payment
- Debit memo
Bank Accounts
- Creating house bank
- Configuring petty cash journal
- Configuring automatic payment to vendors
- Creating check lots
- Configuring bank statement
Bill of Exchange
- Post bill of exchange
- Present bill of exchange
- Discounting bill of exchange
Withholding Tax
- Configuring TDS for vendors
- Raising vendor invoice
- Calculating TDS
VAT Calculations
- Creating GL accounts of input tax output tax and sales tax
- Configuration for tax calculation
- Postings
Foreign Currency
Asset Accounting
- Copying chart of depreciation
- Assigning chart of depreciation to company code
- Assigning input tax and output tax indicators
- Specify account determination
- Create screen layout rules
- Creating asset classes
- Creating depreciation key
- Creating an asset
- Acquisition of asset
- Running depreciation
- Sale of asset
- Transfer of asset
- Scraping of an asset
New GL Accounts
- Configuring new GL
- Configuring multiple ledger
- Document splitting
- Configuring leading and non leading ledger
Financial Statement Versions
- Configuring trading and P&L & Balance sheet
Closing down procedures
Integration
- Integration with FI & MM
- Integration with FI & SD
- Integration with FI & HR
Reports
- Various reports of customers vendors and assets