Makalah
Makalah
Makalah
1. Adjustment postings for business area must be made if business area financial statements need to be
created
2. The balance carry forward program is run at the end of a fiscal year
1. Expense
3. Reimbursement
4. Revenue
If the sales order is exceeded the credit limit, the order still can be shipped but can't be billed. False
1. Data selection
2. Header
1. A certain percentage of total amount, whether it's over due or not, is used as basic calculation of the
valuation
4. Valuation run analyzes the accounts and documents defined in the parameters and creates a
valuation proposal.
The following is a TRUE statement in regards with Reconciliation Account in SAP Financial Accounting
module:
1. You can use it for organizing and managing a large number of G/L accounts
4. It can control the appearance of the company code segment of G/L accounts
Bank where the company have an account(s) is known as:
1. Account ID
2. Reconciliation Account
3. G/L Account
4. Bank Account
5. House Bank ID
Depreciation can only be posted after depreciation posting run has been completed.
True
Automatically when special transactions, such as bill of exchange charges or payment differences is one
of request from
1. Dunning
2. Correspondence
4. Overdue item\
In order to post cost information to Management Accounting, the one of the following information must
be used:
1. G/L account
2. Cost center
3. Posting key
4. Account group
The posting key has controlling function for the following purpose, except:
1. Templates
4. Information Item
After auditors have finished their ork and before the GL is ready to close for the year, we need to run …
to check whether depreciation is posted fully or any assets contain errors.
1. Year-End Closing Program
4. None of above
The followings are operations for accounts payable closing in beginning of the fiscal year, except:
2. Block posting in last year periods and open special periods for customers
1. General Data
1. Material Master
2. GL Account
3. Customer Master
4. Profit Center
1. More than one plants can be assigned to the same company code
You can use ABAP program to assists in creating financial statement. True
The following activities are the first step of running automatic payment
1. Start Proposal
2. Maintain Paramaters
3. Proposal Run
4. Edit Proposal
5. Payment Run
1. Vendor account information is grouped into Client data, Company Code data and purchasing data
2. Posting only possible if Company Code data has been properly maintained
Through … we maintain reconciliation accounts for each asset class in order to post values of asset
accounting.
1. Asset Subnumber
4. Depreciation Key
1. Order Processing
2. Billing
3. Procurement
4. Demand Determination
5. Shipping
The following is used to enter the data for Document entry on the first screen, except:
1. Document type
2. Cost element
3. G/L Account
4. Posting key
5. Currency
The following statements are true regarding organizational structure in Financial Accounting module,
excep.
1. General ledger is assigned to the Company Code level and is used for creating balance sheet and
profit-and-lost statements.
4. More than one Company Codes can only be assigned to one controlling area.
When we do the outgoing transfers, the cash outflow later appears on the bank statement and the bank
ledger accounting session creates the posting:
1. Note to payee
5. None of above
If a company code needs to generate report to meet the requirements of the respective countries, they
need to assign GL Account from …
1. Operating Chart of Account
4. Sales Organization-Division-Plant
1. The check deposit list can be printed out and sent to the bank along with the checks
2. Posting can be completed directly, without batch input session
3. Batch input seesion are created from the check deposit list and have to be processed in order to
create the related posting
4. After all checks have been entered, a list of check unavailable in the system
Method of posting which open invoice won't be cleared and new open item in the amount of the
payment is created, is called
1. Residual Payment
2. Complete Payment
3. Minot Payment
4. Partial Payment
1. When the batch input session is run, an accounting document that corresponds to the original
document is posted.
2. Date of the next posting is updated in the original recurring entry document.
3. Program will selec all recurring entry original documents in which the date of the next posting will fall
within the specified period.
4. To posting the invoice from recurring entry program to general ledger, we need to run the batch
input session.
1. Accrual
2. Defferal
3. Depreciation
4. Reconcilliation
The following statements are true regarding organizational structure in Financial Accounting module,
excep.
1. General ledger is assigned to the Company Code level and is used for creating balance sheet and
profit-and-lost statements.
4. More than one Company Codes can only be assigned to one controlling area.
4. Determine which fields are required and optional for data entry in G/L account
5. None of the Above
1. Replacement value
2. Controlling