Last Updated on April 17, 2024 by admin
SAP Hana Finance Tutorial
SAP Hana Finance tutorial – Complete practical guide of SAP S/4 Hana Financial Accounting(FI) and Controlling(CO) module for all beginners and professional learners.
Learn how to configure and implement Financial Accounting and Controlling process in SAP Hana step by step from basics to advanced concepts through this SAP Hana FI Tutorials with real-time scenarios, issues, and interview questions.
The main objective of this SAP S4 Hana Finance (FI) is to provide a comprehensive guide to customizing the SAP S/4Hana Financial Accounting module.
SAP Hana Finance Tutorial Syllabus
It is advised to refer to the SAP Hana Finance tutorial topic-wise for better learning and experience in the SAP Hana finance module. You can find all the important real-time interview questions that are asked during the interview.
SAP Hana – Basics
SAP HANA FI – Enterprise Structure
- Define Company in SAP S/4Hana
- Define Company Code in Hana
- Define Functional Area
- Define Credit Control Area
- Define Segment
- Define Financial Management Area
- Assign Company Code to Company
- Assign Company Code to Credit Control Area
- Assign Company Code to Financial Management Area
SAP HANA FI – Company Code Global Parameters
- Define Chart of Accounts
- Assign company code to chart of accounts in S4 Hana
- What is Fiscal Year
- Maintain Fiscal Year Variant in S/4Hana
- Assign Company Code to Fiscal Year Variant
- Define G/L Account Groups in S/4Hana
- Define Retained Earnings Account
- Define Posting Period Variant
- Assign Variant to Company Code
- Open and Close Posting Periods
SAP HANA FI – Financial Accounting Global Settings
- Define Field Status Variant
- Assign Company Code to Field Status Variant
- Company Code Global Parameters in S4 Hana
- Define Settings for Ledgers and Currency Types
- Define Accounting Principles
- Assign Accounting Principles to Ledger Groups
- Define Document Type Mapping Variants for Postings
- Consistency Check for General Ledger Settings
- Define Document Type for Entry View
- Define Document Type for Entry View in a Ledger
- Define Document Type for General Ledger View
- Define Document Number Ranges for Entry View
- Define Document No Ranges for General Ledger View
- Activation of Document Splitting
- Define Reasons for Reversal
SAP S4Hana FI – Tolerance Groups
- Define Tolerance Group for G/L Accounts
- Define Tolerance Group for Employees
- Assign Users to Tolerance Groups
SAP HANA FI – General Ledger Accounting
- Define Ledgers for General ledger Accounting
- Define and Activate Non-Leading Ledgers
- Define Ledger Groups
- Define Accounting Principles
- Assign Accounting Principles to Ledger Group
- Classify G/L Accounts for Document Splitting
- Classify Document Types for Document Splitting
- Create Zero Balance Clearing Account
- Activate Document Splitting
- Create Profit Center
- Define G/L Master in Chart of Accounts Area
- Define G/L Master in Company Code Area
- Create G/L Mater Centrally
- Delete / Block / Unblock G/L Master
- Define Valuation Methods
- Define Valuation Area
- Check Assignment of Accounting Principle to Ledger Group
- Assign Valuation Areas and Accounting Principles
SAP Hana FI – Currency
- Currency types in SAP Hana
- Check Currency Codes
- Check Exchange Rate Types
- Define translation ratios for currency translation
- Maintain Exchange Rate Values
SAP HANA FI – Documents Posting
- General Document Posting in Single Screen
- General Document Posting using Double Screen
- Post General Document with Foreign Currency
- General Document Posting with Special Periods
- Enter General G/L Document Ledger Group
- Display Document List
- How to Park Document
- Create Hold Document
- Open Items Document Postings
- Create Sample Documents
SAP HANA FI – Accounts Payable
- Define Vendor Account Groups
- Create Number Ranges for Vendor Accounts
- Assign Number Ranges to Vendor Account Groups
- Define Tolerance for Vendors
- Create Vendor Master Record
- Vendor Invoice Posting
- Vendor Credit Memo Posting
- Vendor Outgoing Payment
- Display Vendor Balances
- Define Alternative Reconciliation Account for Down Payment
- Define Alternative Reconciliation Account for Vendors
- Create Down Payment
- Vendor Invoice Posting
- Create Vendor Master with Payment Method
- Post Vendor Invoices
SAP Hana FI – Accounts Receivable
- Define Customer Account Groups
- Create Number Ranges for Customer Accounts
- Assign Number Ranges to Customer Account Groups
- Define Accounts for Cash Discounts Granted
- Define Accounts for Under Payments
- Create Customer Master Data
- Customer Invoicing Posting
- Display Customer Balances
- Define Dunning Areas
- Define Dunning Procedure
- Create Customer Master with Dunning Procedure
- Dunning Run
- Customer Interest Calculation
- Define Interest Rates
SAP Hana FI – Business Partners
- Activate PPO Requests for Platform Objects in the Dialog
- Activate Synchronization Options
- Define BP Grouping and Assign Number Ranges
- Define BP roles for Customers
- Define BP roles for Vendors
- Define BP Role for Direction Vendor to BP
- Define BP Role for Direction Customer to BP
- Define Number Assignment for Direction BP to Vendor
SAP HANA FI – Bank Accounting
- Define House Banks
- Define Number Ranges for Checks
- Automatic Payment Program
- Bank Determination for Payment Transactions
- Maintain Exchange Rate Difference for Bank Accounts
- Direct Check Deposit Process
- Define Account Determination
- Maintain Repetitive Codes
- Create Payment Request
- Define Posting Keys and Posting Rules for Manual Bank Statements
- Assign Accounts to Account Symbol
- Define Variants for Manual Bank Statements
- Manual Entry Bank Statement
SAP HANA FI – GST Implementation
- Define Business Places
- Define Access Sequence
- Define Condition types
- Define Account Keys
- Define G/L Accounts for Account Determination
- Assign G/L Accounts to Account Keys
- Define Tax Calculation Procedure
- Assign Country to Calculation Procedure
- Complete SAP GST Implementation in S/4HANA
SAP HANA FI – Asset Accounting
- What is Asset Accounting
- Define Chart of Depreciation
- Assign Chart of Depreciation to Company Code
- Specify Account Determination
- Create Screen Layout Rules
- Define Number Range Intervals
- Define Asset Classes
- Define How Depreciation Areas Post to General Ledger
- Assign G/L Accounts
- Activate Segment Reporting
- Activate Account Assignments
- Specify Account Assignment Types for Account Assignment Object
- Set Chart of Depreciation
- Define Depreciation Areas
- Define Depreciation Keys
- Specify Maximum Amount for Low-Value Assets + Asset Classes
- Specify Rounding of Net Book Value
- Specify Memo Values
- Define Base Methods
- Define Declining Balance Methods
- Define Multilevel Methods
- Define Period Control
- Determine Depreciation Areas in the Asset Class
- Specify Transfer Data/ Lost Closed Fiscal Year
- Create Asset Master
- Define Screen Layout for Asset Master Data
- Define Screen Layout for Asset Depreciation Areas
- Define 4 Characters Evaluation Groups
- Define 8 Characters Evaluation Groups
- Change Keywords in the Evaluation Groups
- Asset Acquisition with Vendor
- Create Sub-Asset Master
- Asset Acquisition
- Execute Depreciation Run
- Document Settings for Asset Accounting
- Asset Transfer with Company Code
- Inter-Company Asset Transfer
- Asset Retirement with Reverse.