Questions Exam
Questions Exam
Questions Exam
accounting?
- An accounting principle
True or False: Choosing between SAP S/4HANA and SAP S/4HANA Cloud is also
a matter of required scope.
- True ?
What setting must be identical between the company code and controlling
area?
- The fiscal year variant key
True or False: More than one company code can be assigned to a controlling area.
- True: In order for this to occur, the company code and the controlling area must have
the same operating chart of accounts and fiscal year variant.
To Which chart of accounts must a company code be assigned in order to for posting to
occur?
- Operating -> for daily activities
At which point is the down payment request created in the integrated down
payment process with purchasing?
- Purchase order
When should fiscal year close for asset accounting be carried out?
- When the previous fiscal year is closed
What are the parameters to define different technical clearing accounts for
integrated acquisition in new asset accounting?
- Account determination
- Chart of accounts
Your customer wants to convert their SAP ERP classic general ledger to SAP
S/4HANA. What system configuration options are available for the customer
within the convened system?
- Implementation of document splitting
- Implementation of additional ledgers for parallel accounting
Which business scenarios can be handled with accrual and deferral postings?
- One-time payment for one-year cloud storage service
For general ledger account posting, which one of the following standard posting
keys is for debit?
- 40
Why would you choose to implement the document parking workflow for
journal entry verification, compared to the general journal entry verification
process?
- You do not use SAP Fiori
Which standard currency types must be used when configuring the currency
settings for company codes?
- Company code currency
- Controlling area currency
What happens to the transaction figures when you post a normal reversal
posting?
- They are increased
Identify the steps performed during the general ledger closing operations for
the fiscal year.
- The balance carry forward program is run.
- Foreign currency documents are valuated.
- Accruals are carried out
How can you default a value for the cost center in the entire asset class for
buildings?
- By changing the assigned screen layout
Identify the criteria that usually differentiate between document change rules.
- Company code
- Account type
- Document type
- Account type
A message can contain up to six fields. Determine whether this statement is
true or false.
- False
You have to map two accounting principles for accounting. Using the accounts
approach to parallel valuation in SAP S/4HANA, which ledger must you use?
- Leading ledger
Which of the following are valid settlement receivers when you perform
settlement for an asset under construction on a line item basis?
- Fixed asset
- Cost center NOT Profit center
Which parameter indicates that a line item can only be dunned with
restrictions?
- Dunning key
Which fields in the company code definition of a general ledger account are
always required?
- Field Status Group
- Account Currency
True or False: Anyone with an appropriate user name and password can log on
to the SAP Fiori launchpad through a web browser.
- True: No special software need to be installed; all modern up to date browsers with
HTML5 support will work.
When can you set the open item management indicator in a general ledger
account?
- When an account has a zero balance
- When an account is required for clearing
- When an account is set up as as reconciliation account
In the SAP S/4HANA application, the payment program and dunning program
can access noted items for further processing. Determine whether this
statement is true or false.
- True
Which of the following are possible reasons that an invoice would not be paid?
- An invalid house bank is selected.
- The invoice has a debit balance.
- The payment amount is less than the minimum amount specified for a payment.
A general ledger account has a foreign currency setting of CAD. The company
code currency is USD. The controlling area currency is EUR. Which currencies
can you post to in this account?
- You can only post to the account in CAD
For which special G/L indicator do you specify a target special G/L indicator?
- Vendor down payment request
You want to configure the tax calculation procedures. What are the main
elements you need to define?
- Account key OR transaction key
- Sequence of steps
- Condition type
What is the difference between the ledger approach and the accounts approach
to parallel valuation in Asset Accounting?
- In the accounts approach, you assign a completely separate set of accounts for each
accounting principle, unlike the ledger approach
In which items of a financial statement version can you find values related to
accounts for sales deductions and material expenses?
- Sales deductions in loss item
Material expenses in liabilities item
What are the three basic steps required to define a new company code?
- Copy existing company code
- Adjust basic and address data
- Adjust global parameters
What should you check if the balance of the GR/IR account is not zero at the
purchase order item level on the balance sheet key date?
- Check to see if the goods were delivered by the key date, but have not yet been
invoiced
Which is the most flexible SAP S/4HANA Cloud solution for customers?
- Private option
Which of the following product line does the SAP S/4 HANA system rely on for
procurement function?
- Ariba – SAP Ariba is that supports the digital core with procurement
Which reporting tools are available with SAP S/4HANA embedded analytics?
- Query Browser
- KPI modelling apps
Where do you indicate that the useful life of the asset sub-number is identical
to the useful life of the main asset?
- In the screen layout of the depreciation area
True or False: In an environment of systems using SAP HANA, you can perform both
OLAP and OLTP processing without duplication of of the data for SAP BW and SAP
ERP system?
- True: SAP was designed to fulfill the goal of combining optimal OLTP and OLAP
processing in one database.
You need to use foreign currency valuation in the ledger solution. Which
objects must you define in Customizing?
- Valuation areas
- Accounting principles
- Account determinations
Which of the following types of tasks are available in the Financial Closing
Cockpit application?
- Flow definition
- Online transactions
- Remote tasks
How can you differentiate the document parking workflow process on the
business partner level?
- Assign different workflow release group
You’ve defined a new terms of payment key, but when trying to update the
supplier business partner role, you don’t find the payment term available to
select.
When a payment in foreign currency clears the amount of the invoice exactly in
the foreign currency but in the local currency is more than the invoiced amount,
what does the system do?
- Post to profit from exchange rate differences.
Your company code is assigned to two standard ledgers and one extension
ledger. You post an invoice with one expense line item with a 10% VAT (sales)
tax. How many line items are updated in the Universal Journal (table ACDOCA)?
- 6
Your company code is assigned to two standard ledgers and one extension ledger. You
post an invoice with one expense line item with a 10% VAT (sales) tax. How many line
items are posted in the document entry view?
- 3 : The entry view is the document posted before taking into consideration document
splitting and ledger-specific line items.
- One line for the supplier
- One line for expense
- One line for the tax
You indicate that you're posting to the ledger group of an extension ledger. How many
ledgers are updated?
Which of the following statements best describe how core data services (CDS)
are developed?
- They are developed in the ABAP layer of the SAP S/4HANA system by the IT user.
In which step of the SAP Financial Closing Cockpit configuration do you define
parameters settings for variables of program variants?
- Task list creation
When creating a general ledger account and there are conflicting field statuses,
which field status has the highest priority?
- Suppress
You have an invoice for transport expenses for your assets under construction.
These expenses can be capitalized per IFRS but not in the local GAAP. What is
the best way to handle this?
- Post the invoice to the assets under construction and manage settlement per
depreciation area
For reporting purposes, your client would like to present information about
customer postings that are NOT reflected in the G/L. Which special G/L type do
you recommend?
- Noted items
- Prerequisite
- Replacement
OR
- Prerequisite statement
- Substitution values
You want to specify the financial statement version for asset reports in
Customizing. Where do you need to assign the financial statement version?
- To each depreciation area
Your customer- performs pre-closing activities on the last day of the month.
Which activities are typically executed during pre-closing?
- Header
- Complete document
- Line item
Which SAP Fiori app type provides essential information about system master
data and offers links for navigating between related objects?
- Configuration
What are the maintenance levels of a screen layout rule for asset classes?
- Asset class,
- Main asset number
- Asset sub number
Which of the following account assignments can you configure the system to
create complete balance sheet reports for?
- Segment
- Company code
- Profit center
On which level is the document parking workflow variant assigned?
- Company code
True or False: You need to assign the workflow variant to a company code to be able to
perform standard workflow scenarios such as parked documents approvals.
- True: This basically the definition of the workflow variant. The variant it self is where
rules are defined.
What are the results when you post an outgoing partial payment?
- The initial invoice remains open
- A payment is created with reference to the invoice.
Which of the following are default items assigned to every financial statement
version?
- Liabilities and equity
- Profit and loss resulrs
- Assets
How many cash discount periods can be entered in the terms of payment?
- 3
In which object do you define which SAP Fiori apps a user can use?
- Fiori tile catalog
Which field cannot be changed during document posting for the one-time
customer?
- Customer country
Which of the following standard correspondence types can you use to exchange
information with customers and suppliers?
- Dunning letters
- Payment notices
- Clearing date
Your customer wants the document numbers for two separate document types
to share the same number range. How can you achieve this?
- Enter the same document number range in the customizing definition of both
document types.
Besides using the profit center, which options does General Ledger Accounting
with document splitting provide to assign a segment to the posting line?
- Standard account assignment using constant
- BAdI implementation (FAGL_DERIVE_SEGMENT)
Which of the following assignments can be adjusted for the company code?
- Chart of accounts
- Fiscal year variant
- Company
What are the pillars of the SAP Fiori user experience paradigm?
- Role based
- Simple
- Responsive
Which of the following are the different history sheet groups that each version
of asset history sheets can contain?
- Reposting
- Book values at the end of the fiscal year
- Acquisitions
Which SAP technological product provides the platform required for SAP to
support the digital transformation of an organization?
- SAP HANA
- SAP Cloud platform
You want to configure the default baseline date for the payment terms of an
incoming invoice. From which date can you derive the baseline date?
- Document date
- Entry date
- Posting date
Identify the application areas where validations and substitutions can be used.
- Asset accounting
- Cost accounting
- Financial accounting
Which component of the framework for the intelligent enterprise includes SAP
Leonardo?
- Intelligent technologies
In your system, you currently perform manual outgoing payments and you
want to use the automatic payment program.
Which settings must you maintain as part of the configuration of the automatic
payment program?
- Paying company codes
- Bank determination
You are creating an asset master record by copying another asset, and you
notice that the inventory number is copied over.
Which setting do you make to ensure the inventory number is NOT copied over
when you create a new asset via copy?
Identify the fields that cannot be changed while changing parked documents.
- Currency
- Document type or document number
- Company code
Your customer wants the values for a special group of assets to be shown
separately in the general ledger. Which objects do you create in Customizing
for Asset Accounting?
- Account determination key
- Asset class
What is the purpose of period interval 3 when you define open and closed
periods?
- It is used for posting from CO to FI
The deletion flag is one of the requirements that the system checks before
archiving the master data. Determine whether this statement is true or false.
- True
Which prerequisites must be fulfilled before you can use negative postings?
- The reversal reason must allow negative postings
- The company code must permit negative posting
For which of the following transactions can you use noted items?
- Down payment request
You are running an international business and you want to set up separate
legal entities to run operations and perform accounting activities.
Which organizational unit do you need to create for each legal entity?
- Company code
In the trial balance report that is based on line items, how many fields can you
select to report on?
- More than 100
The government announces that it plans to change the basic VAT tax
percentage from 20% to 18%. What do you have to do in the system to
comply?
- Create new tax codes with the 18% percentage for input and output tax.
After you collect data in the Intercompany Reconciliation tool, what are the
next steps of the reconciliation process?
1. Store the data
2. Present reconciled and non-reconciled data
3. Communicate differences.
4. Post the correction documents.
Which of the following options can you use to change the G/L account master
data using collective processing?
- Change company code data
- Change chart of accounts data
- Change account descriptions
There are four dunning program steps that can be performed during the
automatic dunning procedure as follows: Arrange these steps into the correct
sequence.
- Maintain the parameters
- Schedule the dunning run.
- Change the dunning proposal
You configured Asset Accounting for your company code with three
depreciation areas that post in real time and corresponding depreciation areas
to track group currency values.
When you post an external acquisition, how many documents are created?
- 4
What can you change for items that are in the exceptions list of the payment
proposal?
- Bank selection
- Payment method
- Payment block
How many custom currency types can you assign to a company code/ledger
combination?
- 8
Which of the following steps do you typically perform when executing the
payment run with the automatic payment program?
- Maintain open item selection parameters.
- Review the payment proposal exception list.
On what basis does the system determine the period for the asset retirement?
- Asset value date (asset retirement date)
You forgot to add a new general ledger account into the financial statement
version. What impact does this have on the net profit and net loss?
- The balance of the new account is added to the non-assigned section and is excluded
from the calculation.
You assign currency type of 40 to your company code in ledger 0L. Which
source currency types can you select?
- Group currency
- Company code currency
Which KPIs can you find on the accounts payables overview page?
- Cash discount utilization
- Aging analysis
Which data sections are part of every asset class? Which data sections are part
of every asset class?
- Master data section
- Depreciation data section
You want to edit a dunning proposal. Which actions can you perform to edit a
dunning proposal?
- Block an account
- Block a line item
- Lower the dunning level of an item
Which document splitting setting for the segment characteristic will ensure that
no document line will be posted without a segment?
- Mandatory fields
How many intervals are defined for the foreign currency valuation run ID per
client?
- 1
You need to define a new document type with a specific document number
range to post customer invoices via interface from a non-SAP system. How
would you define the document number range?
- You have to use external number assignment
Which prerequisite must be met by the technical clearing account for integrated
asset acquisition?
- The account is a reconciliation balance sheet account for fixed assets
Which business partner objects can you define field statuses for?
- Role
- Type
What is the main motivation for creating rules for substitutions and
validations?
- Reuse in multiple steps
You have to run the foreign currency valuation for both US GAAP and IFRS,
which leads to different values for the two different accounting principles. How
can you set this up in the system?
- Define two valuation areas and two accounting principles with relevant links to
ledgers
You need to make the line item text field mandatory during document entry.
Which objects should you analyze to fulfill this request?
- G/L Account
- Posting key
True or False: THe only version the public cloud edition of SAP S/4 HANA Cloud a
customer can be on is the latest released version.
- True: Quarterly updates in the realm of the multitenant public cloud are always
required.
You want to develop a substantial enhancement for the purchase-to-pay process in your
SAP S/4 HANA system. Where does SAP recommend you perform this?
- SAP Cloud Platform
True or False: SAP S/4 Hana (on premise) can be deployed on cloud infrastructure.
- True: There is no limitation on the location of the hardware that the on-premise
version of SAP S/4 Hana is deployed
In your SAP S/4HANA system, you report financial values for three separate
accounting principles. You post an acquisition for an asset that is capitalized in
a single accounting principle.
If you use the application to post integrated asset acquisitions, how many
documents will the system post?
- 2
Which of the following parameters can you define within a dunning procedure?
- Line item grace period
- Number of dunning levels
What account types can you use to classify general ledger accounts in SAP
S/4HANA?
- Balance sheet
- Secondary costs
- Non- operating expense or income
Which of the following is a difference between data aging and data archiving?
- Data archiving removes data from the database
The managerial closing activities include locking the old accounting period.
Determine whether this statement is true or false.
- True
Which of the following types of tasks are available in the Financial Closing
Cockpit application?
- Online transactions
- Flow definition
- Remote tasks
How many posting period intervals in SAP S/4HANA are used for postings of
Financial Accounting (FI) and Controlling (CO)?
- 3
There are four dunning program steps that can be performed during the
automatic dunning procedure as follows: Arrange these steps into the correct
sequence.
- Change the dunning proposal
- Schedule the dunning run
- Maintain the parameters
Your customer- performs pre-closing activities on the last day of the month.
Which activities are typically executed during pre-closing?
- Process bad debt expenses for accounts receivable
- Post recurring entries for the general ledger.
Which types of stock is best suited to a moving average price (MAP) valuation?
- Raw materials
For which type of account is the line item display generally active?
You use the ledger approach for parallel accounting in Asset Accounting.
Depreciation area 01 is assigned to the leading ledger for an area 01 is
assigned to the leading ledger for leading valuation and depreciation area 32 is
assigned to the non-leading ledger for parallel valuation.
What posting option should you choose for depreciation area 32?
You are configuring asset related postings of depreciation areas in asset accounting for
company code that uses the ledger approach to parallel valuation. Which of the
following settings would lead to an error?
- Area does not post
You are configuring depreciation areas in Asset Accounting. Which of the following
settings is NOT permitted?
- Area posts revaluation only
Which of the following standard currency types can you set in customizing
activity "define setting for ledgers and currency type"?
- Group currency
- Local currency
Your customer wants to use data aging for the universal journal. Which criteria
can you use to decide which data is moved to the historical partition?
- Account type
- Document type
What checks can you perform from the Audit Journal app?
- Check gaps in journal entry numbering
- Display journal entry changes
- Check multireferenced invoices
Where can an SAP Fiori end user change the theme of their launchpad?
True or False: SAP S/4HANA replaces SAP ERP, and development and support
are shifted completely to it.
- False -> SAP S/4 HANA is the successor to SAP ERP, but it doesn't replace it. There
are still a huge customer base the relies on SAP ERP, and SAP has promised support
until 2025.
You start your first sandbox migration and get a lot of errors. How are errors in
an SAP S/4HANA migration handled?
- Critical errors must be resolved in the production system before Go Live.
- All errors must be corrected during migration to complete it.
You want to make the Reference Document Number field required for entry.
Which object controls this setting?
- Document type
You can compare text patterns in your statements using the keyword LIKE.
Determine whether this statement is true or false.
- True
Deciding about the best SAP S/4 HANA deployment option for SAP S/4 HANA for
business, which dimensions come to mind.
- IT Strategy
- Innovation Cycles
- Business Functionality
- Deployment Times
- Regulatory, Industry, and regional requirements
What can you enter in the header section of the Post Outgoing Payments app?
- Bank fees
- Customer
- Value date
Which of the following activities does the system perform during the payment
run?
- The system clears open items
- The system supplies the print programs with necessary data
- The system makes postings to the G/L and AP/AR subledgers
True or False: Postings made in subledgers like Account Payable, Accounts Receivable,
and Asset Accounting are simultaneously recorded in the General Ledger.
- True: Each subledger has one (or more) reconcilliation accounts in the general ledger.
The reconciliation accounts ensure that the balance of G/L accounts is always zero.
You define the type of custom currency Z1 for your company code. What types
of currency should be stored in the Data Entry view?
- Document currency
- Company code currency
Which two reports should you use to create correspondence to and from
customers and vendors to enable you to verify the balance of receivables
and payables?
- SAPF130K
- SAPF130D
In Asset Accounting, which object do you use to handle separate valuation for
parallel accounting?
- Depreciation area
To reduce the load on the system, what should you do with the older
documents that exist in the database?
- Archive and delete
You are asked to explain the assets under construction functionality in SAP
S/4HANA. What should you highlight?
- It is possible to post special tax depreciation and investment support for assets
under construction
- It is possible to post credit memos, even after assets under construction are fully
capitalized
You are responsible for implementing Asset Accounting. You are provided with
the legacy data of various assets and their grouping information based on
category, life, and depreciation terms.
What configuration step would you initiate to maintain these categories in SAP
S/4HANA?
You are responsible for implementing Asset Accounting. You are provided with
the legacy data of various assets and their grouping information based on
classifications, useful life, and depreciation terms.
What configuration step would you initiate to maintain these categories in SAP
S/4HANA?
Which values can you define as prerequisites for triggering the general journal
entry verification workflow?
- Source company code
- Cost center
- Account group
You are configuring accrual types for the accrual engine. For which postings is
account determination required?
- Opening posting only
- Periodic only
Which closing activities are used in external reporting as per SAP best
practices?
- Perform valuations of open items in foreign currency
- Perform flat rate value adjustment for receivables
- Regroup receivables and payables on the balance sheet
- Reclassify receivables and payable
You've negotiated payment terms that include three installment payments with
your customer. How many terms of payment must you define?
- 4
What are the three basic steps required to define a new company code?
- Adjust global parameters
- Adjust basic and address data
- Copy existing company code
For which of the following tasks must you always indicate manual task
completion?
- Notes
You are starting the fiscal year-end process in Asset Accounting in SAP
S/4HANA. What are the year-end closing program checks for Asset Accounting?
- Asset master data is complete and error free.
- Depreciation is posted in full
True or False: The only version of the public cloud edition of SAP S/4HANA a
customer can be on is the latest released version.
- True
What can you manually select to copy when you copy a company code?
- General ledger account data
- Company code currency
- Controlling area assignement
On what level can you assign a fiscal year variant to a company code?
- Ledger
A customer payment was received. An open item does NOT exist for the
payment. How can you post the payment?
- Post payment on account
What is the correct order of steps when configuring the payment programs?
- All company codes, paying company codes, payment methods in country, payment
methods in company code, bank determination
Which requirements do you need to fulfill to use data aging for Finance in
the SAP S/4HANA system?
- Activate aging on SAP HANA
- Add required authorizations for data aging to your role
- Switch on the data aging business function
How can you perform transfers of assets between company codes with different
charts of depreciation?
- Configure the cross-company depreciation areas in customizing
Which of the following currency types can you set in customizing activity
"define setting for ledgers and currency type"?
- Group currency
- Local currency
You receive a payment for an invoice that is smaller than the owed amount.
How can you manage payment differences in the Post Incoming Payments app?
- Residual item
- Partial payment
What is the secondary cost general ledger account type used for?
- To post internal cost allocations in management accounting
Which of the following original Management Accounting objects can you assign
in the asset master record?
- Cost center
- Activity type
- Order
Which of the following steps are parts of the process of configuring the
payment program?
- Configure the paying company codes
- Configure the payment methods for each company code
- Configure the house banks
Which is the first step in the procedure of making down payments in the
customer area?
- Down payment request
During which actions does the system assign the document number for
Financial Accounting?
- Post
- Park
Identify some of the fields related to the depreciation area in the asset master
record.
- Useful life
- Scrao value
- Depreciation start
Which of the following logistic processes are involved in asset acquisition with
materials management (MM)?
- Purchase requisition
- Goods receipt
- Purchase order
Which of the following statements is correct for external number assignment
(manual posting)?
- The number is entered by the user
Which of the following are the month-end closing activities for external
purposes?
- Close the old period
- Perform foreign currency valuations
- Create external and internal reports
What information is provided when you execute the balance audit trail?
- The starting balance and the yearly changes to the balance of a general ledger
account
Which General Ledger account type do you select to perform activity cost
allocations?
- Secondary costs
Which attributes should you consider when defining asset number ranges?
- Each asset class can have either an internal or external number range
- Asset number ranges are defined for asset classes and are company code specific
What kind of automated checks are available for the financial statement
version?
- Check for accounts assigned to one side only
- Check for incorrectly assigned accounts
You need to enter a percentage rate in the terms of payment to calculate _____
- Cash discount
Identify the callup points that have been provided for Financial Accounting
(FI).
- Complete document
- Document header
- Document line
What is the recommended field status setting for fields in the customer-vendor
account groups in the Financial Accounting customizing?
- Optional
Which of the following statements apply to the special general ledger types of
noted items?
- No postings are made on an offsetting account
- No zero-balance check is made in the system
- Noted items are posted to an alternative reconciliation account
When you post a manual incoming payment, which parameters are valid for all
payment documents?
- Bank account
- Journal entry type
You are a group cash manager interested in the North American business
market. What are the personalization options available to you in SAP
Fiori?
- You can create an app to take you directly to the cash position of the
North American business market.
- You can create access to relevant apps for the North American accounts
payable group that reports to you.
You are a group cash manager interested in the North American business
market.What are the personalization options available to you in SAP Fiori?
- You can create a tile group with all the apps required for you daily
business for easy access
- You can create a tile to take you directly to the cash position of the North
American business market
When you post a payment for an invoice, how does the system derive the
splitting characteristics?
- Passive document splitting
How can you set up multiple valuations for transfer pricing in your SAP
S/4HANA system?
- You can assign each valuation to a separate ledger.
- You can assign profit center, group, and legal valuations to the same ledger.
The usage of which of the following depreciation types can be activated per
depreciation area?
- Special depreciation
- Ordinary depreciation
- Unplanned depreciation
What is the order of configuration within the SAP Financial Closing cockpit?
- Create template, create tasks, define dependencies, create task list, release task list
A user wants to add an application to his SAP Fiori home page but can’t find it
in the App Finder. What does the admin have to do?
- Assign the corresponding SAP Fiori tile catalog to the user.
Which of the following can you use for multiple programs with variants that are
to be processed automatically?
- Flow definition
You want to post journal entries in a special period. Which conditions must be
met?
- You must enter a posting date in the last posting period.
- The special period must be open for posting in the period control.
In the payment method settings for the company code, what options do you
have for payment optimization?
- Optomization by bank group
- Optomization by postal code
You execute a report based on the location and are missing an asset. What
might have happened?
- The equipment assigned to the asset was moved
- The asset was sold to a customer
What is the purpose of the group account number in General Ledger account
master data maintenance?
- it is used for cross-company-code reporting if the company codes use different charts
of account.
A document has several line items, with different reason codes entered. For the
automatic payment, which correspondence type does the system choose?
- The one assigned to the tolerance group
è SAP Tolerance Groups determine various amount limits for employees and
predefine the maximum amount an employee is permitted to post, the maximum
amount the employee can post as line items in a customer or a vendor account, the
maximum cash discount percentage the employee can assign in a line item, and
the maximum allowed tolerance for payment differences for the employee
A vendor is also a customer. The payment program has to clear the open items.
Which setting has to be maintained for the business partner?
- The account link
You are responsible for configuring document splitting. What are some of the
key settings?
- Document type
- Business transaction variant
When you copy an asset, the asset text is copied as well. How can you avoid
this?
- By changing the assigned screen layout
You need to perform mid-year legacy system migration for assets in a new
company code. Which data must you migrate?
- Current year posted depreciation
- Current year asset acquisition transactions
- Closed year asset sale transactions
Which field in the business partner master can you configure so that the
document reference is transferred to the line item?
- Sort key
On which levels can you maintain field status controls for business partners
(BP)?
- Client
- BP type
- BP role
What checks does the year-end closing program (RAJABSOO) perform?
- Assets are complete and error-free
- Depreciation and asset balances are posted in full
The dunning run is made up of three main steps that happen in a particular
sequence. What is the correct sequence of steps?
- Account selection
Dun line items
Dun account
Which parameters can you specify when you create a new correspondence
type?
- Number of date fields required
- Account required
- Document number required
When creating a bank as a business partner, what roles are assigned to the
business partner by default?
- General
- Bank Financial services
When making a partial sale, how can you choose to calculate the amount of
value reduction for the asset?
- By percentage
- By quantity
- D. By retirement amount
Which stage of the sales process creates documents for both Materials
Management and Financial Accounting?
- Shipping – goods issue
What object determines the number range for business partner master data?
- Business partner grouping
The SAP HANA database relies on which of the following technologies for
storing data?
- In-memory
- Columnar store
- Compression
True or False: A posting key allows posting to just one account type.
- True: The posting key supplies the system with the information about which account
has posted to the G/L account, customer, vendor, assets or material.
Within the line items of FI documents, what does the posting key control?
- Whether the item is posted as a debit or credit
- The field status of additional details
- The account type to which the line item can be posted
When setting up the system, you want to maintain default values for users of a
company code. Which application do you use?
- User maintenance
What are the two phases of AuC that are relevant to Asset Accounting?
- Useful life phase
- Under-construction phase
Why might you define options to have manually allocated item keys for the
financial statement version?
- To be able to enter an explanatory text for the item key
What do you define when configuring asset classes? Note: There are 3 correct answers
to this question.
- Screen layout rules
- Number ranges
- Account determination
- Cost center
– Functional area
You can use Boolean logic to define different types of logical statements.
Determine whether this statement is true or false.
- True
You want to define a validation for the combination of general ledger account
and cost center. For which call-up point do you define this validation?
- Document line
You use the lowest-value valuation method with active delta logic. Your open
item was posted at 200 units of foreign currency, which originally translated to
100 units of local currency, and in the previous period it was 98 units. In the
preceding foreign currency valuation run, the program posted a value of -1
currency units.
What was the value in local currency units at the time of valuation?
- 97
In SAP S/4HANA, on which levels can you maintain open posting periods?
- Posting period variant
- Controlling area
You have been asked to set up house banks as part of the implementation.
What information do you need?
- Company code
- Bank master data
- General ledger account
For which kind of asset is the asset main text always prefilled?
- Asset subnumbers
What should you do to set up a new exchange rate type in SAP S/4HANA?
- Maintain exchange rates daily
- Specify the direct or indirect quotation.
Which of the following functions include the important functions of the SAP List
Viewer tool?
- Calculating totals and subtotals
- Deleting and inserting columns
- Setting filters
When you create multiple similar asset master records, which of the following
fields allow you to make separate entries for each individual asset?
- Description of the asset
- Inventory number
- Cost center
Identify the fields that cannot be changed while changing parked documents.
- Document type or document number
- Currency
Down payments received reduce the total of which of the following entities?
- Receivables
Which objects can define the maximum length of a general ledger account?
- Chart of accounts
- Account group
What is assigned to a number range and controls how Company Code segment of a G/L
account is displayed?
- Account group
You've mistakenly created your business partner with the wrong business
partner category. You've saved the data but haven't made any postings. What
can you do to correct this?
- Create a new business partner using the correct category
What options does a processor for a general journal entry submitted for
verification have?
- Submit
- Reject
- Approve
How can you select to post accrual amounts when customizing the accrual
engine?
- Post full amounts
- Post delta amounts
Which of the following product lines does the SAP S/4HANA system rely on for
most human resource management functions?
- SAP SuccessFactors
Which elements define the integration of asset acquisitions with the general ledger?
- Asset class
- Depreciation area
What are some of the benefits of the data handling in SAP S/HANA?
- The data is available in real time at line-item detail
- The data is aggregated on the fly from any line-item table
What can you control with the reason code in Accounts Receivable?
- The type of payment notice sent to a customer
- The exclusion of disputed residual items from credit limit checks
- The account where a residual item is posted
You use the search in your SAP Fiori launch pad to loop information for a cost center.
What kind of app is used for the information shown in the search results?
- Factsheet
In order for information to pass over the controlling module when posting to an expense
account as part of the FI transaction, which master record setting must exist for the
expense account that is being posted to?
- G/L Account type = Primary Cost or Revenue and setting for Cost Element Category
Which of the following organizational units are part of the enterprise structure for
financial accounting?
- Functional area
- Business area
- Segment
True or False: You assign the operating concern used for profitability analysis
directly to the company code
- False: The operating concern is assigned one to many to the controlling area. The
company code is assigned to the operating concern indirectly through the assignment
of the company to the controlling area
True or False: To integrate financial accounting with Purchasing, you must assign the
purchasing organization to the company code.
- False: When you don't assign the company code to the purchasing organization the
system uses the plant to derive the correct one.
True or False: With block indicator set on the chart of accounts, you can no longers
perform postings to the company code assigned.
- False: The indicator blocks the accounts in the chart of accounts from being assigned
to a company code. This won't affect accounts already assigned before the indicator
was set and won't stop you from posting to the account of the chart of accounts.
When creating a general ledger account and there are conflicting field statuses, which
field status has the highest priority?
- Suppress
True or False: If you maintain a single value for the retained earnings account, then for
any P&L general ledger account you create, the P&L statement account type is assigned
automatically.
- True: You only need to define the retained earnings account manually if you've
defined more than one retained earnings account. In this case, automatic assignment is
no longer possible, and you always have to input the correct type manually.
True or False: When you create a new standard ledger from scratch, its assigned to all
company codes by default.
- False: A new standard ledger won't be assigned to any company codes until you
manually make the assignment and configure the ledger settings. If you create a
ledger via copying, you can choose to copy the assignment and settings from the
original to the new one.
True or False: When using the accounts approach to parallel valuation for
mapping to accounting principles, you'll essentially double the general ledger
accounts in the chart of accounts.
- False: You only need to create two sets of accounts for those accounts for which there
can be differences in valuation.
True or False: You can use an extension ledger to depict a separate accounting principle
- True: Although you have limitations because you can only perform manual postings,
you can assign an extension ledger group to an accounting principle and thus have a
complete, separate valuation
True or False: SAP S/4 HANA come preconfigured with common accounting principles
and corresponding rules and checks assigned.
- False: Although a SAP Best Practices package or Client 000 might indeed have an
accounting principle pre define, the accounting principle objects carries no valuation
rules or checks in and of itself.
How many custom currency types can you assign to a company code /ledger
combination?
- 8
True or false: Using cost of sales accounting can lead to a different result (profit/loss
amount) at the end of a period compare to period accounting.
- B. False. This statement describes a normal reversal. With a negative reversal, the
system post a negative amount on the same debit/credit side as the original document
line items. This ensures total debit/credit for the account isn't affected by the wrong
posting
True or False: A customer account can be defined as the clearing account for cross-
company code postings.
- True: There is no requirement that the clearing account be a general ledger account
only.
True or False: Using cost sales accounting can lead to a different result (profit/loss) at
the end of a period compared to period accounting.
- False: Although the grouping of the amounts lis different , The financial result is
always the same with either the cost of sales or period accounting method.
You perform foreign currency valuation for open items of your supplier accounts. The
valuations will be used only for period end reporting and should then be reversed. What
account does the system use to post the valuation differences?
- Adjustment account for foreign currency
You are getting ready to post your first simple general ledger document using the SAP
Fiori app for posting in a test environment.
What configuration items do you need to set up to post a simple document?
- Number range and document types must be maintained.
- Posting period variant must be created and assigned.
Which of the following is a technical year end closing activity in SAP S/4HANA :
- Foreign currency valuation must be posted
- Or Ledger balances must be carried forward :’(
How does the system perform the normal reversal of a journal entry:
- It creates an inverse posting by increasing the transaction figures
“Normal reversal posting, system post the incorrect debit as credit and incorrect credit as a
debit. This reversal cause additional increase in the transaction figure.”
“Negative posting also post the incorrect debit as credit and incorrect credit as a debit. But
transaction figure will not increase. i.e reverse posted figure subtracted from transaction
figure.”
Which of the following statements are valid for financial document number ranges?
There are 3 correct answers to this question.
For sure :
- The same financial document number range can be assigned to several types of documents.
- The financial document number ranges are defined at the company code level.
- Financial document number ranges must be defined for the year in which they are
used
Then: ???????? Financial document number ranges defined at the client level should
NOT be superimposed??????
What archiving step must precede archiving a supplier invoice posted directly
to FI?
- Archive FI transaction figures
To use the SAP Financial Closing cockpit, which steps are required?
- Release the task list
- Create task groups
- Create a template
You need to post customer invoices via interface from a non-SAP system
You want to define a new document type with a specific document number
range that matches the document numbers of the source system. How do
you define the document number range?
- You must use external number assignment
Which of the following should you consider when defining asset number
ranges?
- Asset number ranges are defined for asset classes and are company code
specific
- Each asset class can have either an internal or external number range
What is shared between all deployment options for SAP S/4HANA (Cloud,
On-Premises)?
- User experience
- Code line
- Data model
You’d like to set up low value asset (LVA) management. What do you need
to do?
- Define two separate asset classes to manage LVA using individual or
collective management
You post a purchase order. For which expenses does the system calculate
accruals?
- Insurance premiums
- Consulting services
How can you ensure that users use the new tax codes when entering tax
relevant documents starting next year?
- Create a validation that issues an error when the user uses a deprecated
VAT code when entering documents with a posting date in the new year.
For which account can you perform account clearing in SAP S/4HANA?
- For any account that is managed on an open item basis
You create a new G/L account. Which G/L account type can you assign?
- Primary Costs or Revenue
- Secondary Costs
- Field selection
- Maintenance level
- Reference