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Customizing Financial Accounting in SAP

Customizing Financial Accounting in SAP (Hardcover)

Narayanan, V (지은이)
SAP PRESS/GALILEO PRESS
144,900원

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Customizing Financial Accounting in SAP
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· 제목 : Customizing Financial Accounting in SAP (Hardcover) 
· 분류 : 외국도서 > 컴퓨터 > 데스크탑 애플리케이션 > 스프레드시트
· ISBN : 9781592293773
· 쪽수 : 765쪽
· 출판일 : 2011-10-28

목차

  • Acknowledgments 21
  • Preface 23
  • 1 Financial Accounting in SAP Financials 27
  • 1.1 SAP Enterprise Resource Planning 6.0 27
  • 1.2 SAP ERP Financials 29
  • 1.2.1 Key Functionality 30
  • 1.2.2 Business Benefits 32
  • 1.3 SAP ERP Financials Financial Accounting 32
  • 1.3.1 What s New 33
  • 1.3.2 Components 35
  • 1.4 Summary 37
  • 2 New General Ledger 39
  • 2.1 New G/L Architecture 40
  • 2.1.1 Totals Table 41
  • 2.1.2 Ledger-Specific Line Items Tables 42
  • 2.1.3 Table for Storing Valuations for Year-End Closing in Selected Parallel Ledgers (BSEG_ADD) 42
  • 2.2 New Features in New G/L 43
  • 2.2.1 Ledger Concept 44
  • 2.2.2 Functionality 46
  • 2.3 Summary 56
  • 3 Customizing SAP 57
  • 3.1 The Implementation Guide 58
  • 3.1.1 IMG Settings 58
  • 3.1.2 IMG Variants 60
  • 3.1.3 Logical Components of IMG 61
  • 3.2 Creating a Customizing Project 63
  • 3.3 Alternate Method to Customize Through IMG 68
  • 3.4 Summary 69
  • 4 Enterprise Structure 71
  • 4.1 Organizational Units in Financial Accounting (FI) 72
  • 4.2 Localize Sample Organizational Units 73
  • 4.3 Define Company 77
  • 4.4 Define Company Code 80
  • 4.4.1 Create Company Code without Copying from an Existing Company Code 82
  • 4.4.2 Create Company Code by Copying an Existing Company Code 85
  • 4.4.3 Assign Company Code to Company 88
  • 4.5 Define Credit Control Area 89
  • 4.5.1 Centralized Credit Management 90
  • 4.5.2 Decentralized Credit Management 91
  • 4.5.3 Mixed Credit Management 91
  • 4.5.4 Assign Company Code to Credit Control Area 96
  • 4.6 Define Business Area 97
  • 4.7 Define Segments 100
  • 4.8 Define Financial Management Area 103
  • 4.9 Define Functional Area 107
  • 4.10 Define Controlling Area 109
  • 4.10.1 Create New Controlling Area 110
  • 4.10.2 Assign Controlling Area to Company Code 113
  • 4.11 Define Profit Centers 115
  • 4.12 Summary 120
  • 5 Financial Accounting Global Settings (New): Company Code Global Parameters 123
  • 5.1 Activate New General Ledger Accounting 123
  • 5.2 Fiscal Year and Posting Periods 125
  • 5.2.1 Maintain Fiscal Year Variant (Maintain Shortened Fiscal Year) 130
  • 5.2.2 Define Variants for Open Posting Periods 135
  • 5.2.3 Open and Close Posting Periods 137
  • 5.3 Settings for Standard Fields 140
  • 5.3.1 Maintain Transaction Types for Consolidation 141
  • 5.3.2 Activate Cost of Sales Accounting for Preparation 143
  • 5.3.3 Enter Functional Area 144
  • 5.4 Settings for Customer Fields 145
  • 5.4.1 Edit Coding Block 145
  • 5.4.2 Include Fields in Totals Table 148
  • 5.4.3 Define Master Data Check 150
  • 5.4.4 Include Customer Fields in Enjoy Transactions 152
  • 5.4.5 Define Subscreens for Coding Blocks 153
  • 5.5 Field Status 153
  • 5.5.1 Define Field Status Variants (FSVs) 156
  • 5.5.2 Assign Company Code to Field Status Variants 158
  • 5.6 Ledgers for G/L Accounting 159
  • 5.6.1 Define Ledgers for G/L Accounting 160
  • 5.6.2 Define Currencies of Leading Ledger 161
  • 5.6.3 Define and Activate Non-Leading Ledgers 164
  • 5.6.4 Define Ledger Group 165
  • 5.6.5 Display Scenarios for G/L Accounting 167
  • 5.6.6 Activate Cost of Sales Accounting 170
  • 5.7 Parallel Accounting 171
  • 5.7.1 Define Accounting Principles 171
  • 5.7.2 Assign Accounting Principle to Ledger Groups 172
  • 5.7.3 Assign Valuation Areas and Accounting Principles 173
  • 5.8 Real-Time Integration of CO with FI 175
  • 5.8.1 Define Variants for Real-Time Integration 176
  • 5.8.2 Assign Variants for Real-Time Integration to Company Codes 178
  • 5.9 Chart of Accounts 178
  • 5.9.1 Revise Chart of Accounts 180
  • 5.9.2 Assign Company Code to Chart of Accounts 182
  • 5.10 Enter Company Code Global Parameters 183
  • 5.11 Summary 190
  • 6 Financial Accounting Global Settings (New): Documents 193
  • 6.1 Document Components 194
  • 6.2 Document Types 197
  • 6.2.1 Define Document Types for Entry View 199
  • 6.2.2 Define Document Types for Entry View in a Ledger 203
  • 6.2.3 Define Document Types for General Ledger View 203
  • 6.3 Document Numbering 204
  • 6.3.1 Types of Number Assignment 204
  • 6.3.2 Number Range Validity 205
  • 6.3.3 Changing/Deleting Number Ranges 206
  • 6.3.4 Number Range for Reversal Documents 206
  • 6.3.5 Number Range for Special Documents 207
  • 6.3.6 Document Storage 207
  • 6.3.7 Define Document Number Ranges for Entry View 207
  • 6.4 Screen Variants for Document Entry 211
  • 6.5 Document Change Rules 211
  • 6.5.1 Document Change Rules, Document Header 211
  • 6.5.2 Document Change Rules, Line Item 212
  • 6.6 Posting Keys 213
  • 6.7 Tolerance Groups 215
  • 6.7.1 Define Tolerance Groups for Employees 216
  • 6.7.2 Assign Users to Tolerance Groups 220
  • 6.8 Define Texts for Line Items 221
  • 6.9 Default Values 222
  • 6.9.1 Define Default Values 223
  • 6.9.2 Enable Fiscal Year Default 224
  • 6.9.3 Default Value Date 224
  • 6.9.4 Change Message Control for Document Processing 225
  • 6.10 Document Parking 226
  • 6.10.1 Change Posting Date for Parking Documents 226
  • 6.10.2 Develop Enhancements for Parking Documents 227
  • 6.11 Validation and Substitution of Accounting Documents 228
  • 6.11.1 Validation in Accounting Documents 228
  • 6.11.2 Substitution in Accounting Documents 231
  • 6.12 Account Document Archiving 232
  • 6.12.1 Archiving, Account Type Life 232
  • 6.12.2 Archiving, Document Life 234
  • 6.13 Summary 235
  • 7 Financial Accounting Global Settings (New): Tax and Correspondence 237
  • 7.1 Tax on Sales and Purchases 238
  • 7.1.1 Basic Settings 239
  • 7.1.2 Calculation 255
  • 7.1.3 Posting 261
  • 7.2 Withholding Tax 263
  • 7.2.1 Activate Extended Withholding Tax 265
  • 7.2.2 Basic Settings 265
  • 7.2.3 Calculation 268
  • 7.2.4 Posting 282
  • 7.2.5 Certificate Numbering for Withholding Tax 284
  • 7.2.6 Report 287
  • 7.2.7 Withholding Tax Changeover 291
  • 7.3 Correspondence 295
  • 7.3.1 Using Correspondence Types 295
  • 7.3.2 Assign Programs for Correspondence Types 296
  • 7.3.3 Define Sender Details for Correspondence Form 297
  • 7.3.4 Determine Call-Up Functions 298
  • 7.3.5 Develop Enhancements for Correspondence 298
  • 7.4 Summary 299
  • 8 General Ledger Accounting (New) 301
  • 8.1 G/L Account Master Data 301
  • 8.1.1 Preparations 303
  • 8.1.2 G/L Account Creation and Processing 309
  • 8.2 Business Transactions 323
  • 8.2.1 Adjustment Posting and Reversal 323
  • 8.2.2 Bank Account Interest Calculation 325
  • 8.2.3 Prepare Cross-Company Code Transactions 339
  • 8.2.4 Document Splitting 342
  • 8.2.5 Manual Accrual 351
  • 8.2.6 Open Item Clearing 366
  • 8.3 Periodic Processing 376
  • 8.3.1 Planning 376
  • 8.3.2 Closing Operations 382
  • 8.4 Tools 387
  • 8.5 Reporting 388
  • 8.6 Summary 390
  • 9 Accounts Payable (FI-A/P) 391
  • 9.1 Vendor Master Data 392
  • 9.1.1 Function and Structure 392
  • 9.1.2 Preparatory Settings to Create Master Data 393
  • 9.1.3 Creation of Vendor Master Records 398
  • 9.2 Business Transactions 401
  • 9.2.1 Maintain Terms of Payment 401
  • 9.2.2 Define Cash Discount Base for Incoming Invoices 405
  • 9.2.3 Release for Payment 405
  • 9.3 Outgoing Payments 413
  • 9.3.1 Global Settings 414
  • 9.3.2 Manual Outgoing Payments 418
  • 9.3.3 Automatic Outgoing Payments 424
  • 9.3.4 Define Payment Forms 445
  • 9.4 Reporting 447
  • 9.5 Summary 449
  • 10 Accounts Receivable (FI-A/R) 451
  • 10.1 Customer Account Master Data 452
  • 10.1.1 Structure 452
  • 10.1.2 Prepare for Creating Customer Masters 453
  • 10.1.3 Create Customer Master Records 458
  • 10.2 Business Transactions 462
  • 10.2.1 Maintain Terms of Payment 462
  • 10.2.2 Define Cash Discount Base for Outgoing Invoices 463
  • 10.2.3 Define Tax Accounts for Outgoing Invoices 463
  • 10.2.4 Incoming Payments 464
  • 10.2.5 Payments with Payment Cards 468
  • 10.2.6 Down Payment Received 470
  • 10.3 Credit Management 472
  • 10.3.1 Assign Permitted Credit Control Areas to Company Code 473
  • 10.3.2 Define Preliminary Settings for Credit Management 473
  • 10.3.3 Define Groups 475
  • 10.3.4 Define Risk Categories 476
  • 10.3.5 Define Credit Representative Groups 477
  • 10.3.6 Define Credit Representatives 478
  • 10.3.7 Define Intervals for Days in Arrears in Credit Management 479
  • 10.3.8 Credit Check: Static and Dynamic 480
  • 10.4 Interest Calculation 481
  • 10.4.1 Prepare Interest on Arrears Calculation 482
  • 10.4.2 Prepare Item Interest Calculation 484
  • 10.5 Dunning 485
  • 10.5.1 Define Dunning Keys 488
  • 10.5.2 Define Dunning Block Reasons 489
  • 10.5.3 Define Dunning Forms 490
  • 10.5.4 Define Dunning Procedures 491
  • 10.5.5 Define Dunning Areas 502
  • 10.5.6 Generate List for Dunning Configuration 503
  • 10.6 Reporting 504
  • 10.7 Summary 505
  • 11 Contract Accounts Receivable and Payable (FI-CA) 507
  • 11.1 Organizational Units 508
  • 11.1.1 Set Up Company Code for Contract Accounts Receivable and Payable 508
  • 11.1.2 Define Company Code Groups 510
  • 11.1.3 Assign Company Codes to Company Code Groups 510
  • 11.2 Basic Functions 511
  • 11.2.1 Activate Additional Checks for Master Data Changes to a Business Partner 511
  • 11.2.2 Contract Accounts 512
  • 11.2.3 Postings and Documents 516
  • 11.2.4 Open Item Management 520
  • 11.2.5 Check Management 522
  • 11.3 Business Transactions 523
  • 11.3.1 Payments 523
  • 11.3.2 Interest Calculation 526
  • 11.3.3 Define Dunning Procedure 528
  • 11.3.4 Configure Returns Reasons 528
  • 11.4 Integration 529
  • 11.4.1 Define Posting Specifications for General Ledger Transfer 529
  • 11.4.2 Sales and Distribution 530
  • 11.4.3 Cash Management 531
  • 11.5 Information System 533
  • 11.6 Summary 533
  • 12 Bank Accounting (FI-BL) 535
  • 12.1 Bank Master Data 535
  • 12.1.1 Bank Directory 535
  • 12.1.2 House Banks 537
  • 12.1.3 Define a Business Partner s Bank 543
  • 12.1.4 Define Lockboxes for House Banks 543
  • 12.2 Bank Chains 545
  • 12.2.1 Define Scenario 546
  • 12.2.2 Activate Scenario 547
  • 12.2.3 Create General Bank Chain 547
  • 12.2.4 Define Partner-Specific Bank Chains 548
  • 12.3 Business Transactions 548
  • 12.3.1 Manual Bank Statement 549
  • 12.3.2 Electronic Bank Statement 554
  • 12.3.3 Lockbox Processing 557
  • 12.3.4 Cash Journal 560
  • 12.4 Summary 565
  • 13 Asset Accounting (FI-AA) 567
  • 13.1 Organization Structures 568
  • 13.1.1 Check Country-Specific Settings 568
  • 13.1.2 Chart of Depreciation 570
  • 13.2 Structuring Fixed Assets in FI-AA 576
  • 13.3 Asset Classes 579
  • 13.3.1 Generate Asset Classes from G/L Accounts (One-to-One) 579
  • 13.3.2 Manual Creation of Asset Classes 582
  • 13.4 Valuation 588
  • 13.4.1 Define Depreciation Areas 589
  • 13.4.2 Specify Transfer of APC Values 593
  • 13.4.3 Specify Transfer of Depreciation Terms 594
  • 13.4.4 Set up Areas for Parallel Valuation 595
  • 13.4.5 Define Depreciation Areas for Foreign Currencies 596
  • 13.4.6 Specify the Use of Parallel Currencies 596
  • 13.4.7 Determine Depreciation Areas in the Asset Class 597
  • 13.4.8 Specify Maximum Amount for Low-Value Assets and Asset Classes 598
  • 13.4.9 Specify Rounding of Net Book Value and/or Depreciation 599
  • 13.4.10 Specify Changeover Amount 600
  • 13.4.11 Specify Memo Value 601
  • 13.5 Integrating FI-AA with the General Ledger (FI-G/L) 602
  • 13.5.1 Define How Depreciation Areas Post to G/L 603
  • 13.5.2 Assign G/L Accounts 603
  • 13.5.3 Specify Posting Keys for Asset Posting 605
  • 13.5.4 Assign Input Tax Indicator for Non-Taxable Acquisitions 605
  • 13.5.5 Change the Field Status Variant of the Asset G/L Accounts 605
  • 13.5.6 Specify Financial Statement Version for Asset Reports 606
  • 13.5.7 Specify Document Type for Posting Depreciation 607
  • 13.5.8 Specify Intervals and Posting Rules 608
  • 13.5.9 Activate Account Assignment Objects 610
  • 13.5.10 Specify Account Assignment Types for Account Assignment Objects 611
  • 13.6 Depreciation 613
  • 13.6.1 Depreciation Keys 614
  • 13.6.2 Maintain Depreciation Key 617
  • 13.6.3 Ordinary Depreciation 621
  • 13.6.4 Special Depreciation 622
  • 13.6.5 Unplanned Depreciation 622
  • 13.7 Special Valuation 623
  • 13.7.1 Reserves for Special Depreciation 623
  • 13.7.2 Interest 624
  • 13.7.3 Revaluation of Fixed Assets 625
  • 13.8 Master Data: Screen Layout 627
  • 13.8.1 Define Screen Layout for Asset Master Data 628
  • 13.8.2 Define Screen Layout for Asset Depreciation Areas 630
  • 13.8.3 Specify Tab Layout for Asset Master Record 631
  • 13.9 Transactions 632
  • 13.9.1 Define Transaction Types 632
  • 13.9.2 Define Account Assignment Category for Asset Purchase Orders 633
  • 13.9.3 Assign Accounts 634
  • 13.9.4 Allow Down Payment Transaction Types in Asset Classes 635
  • 13.9.5 Capitalization of Assets Under Construction 635
  • 13.10 Asset Data Transfer 637
  • 13.10.1 Set Company Code Status 637
  • 13.10.2 Specify the Sequence of Depreciation Areas 638
  • 13.10.3 Data Transfer Parameters 638
  • 13.10.4 Automatic Data Transfer 640
  • 13.10.5 Manual Online Transfer 641
  • 13.10.6 Legacy Data Transfer using Microsoft Excel 641
  • 13.11 Preparing for Production Startup 642
  • 13.11.1 Maintain Authorizations 642
  • 13.11.2 Assign Workflow Tasks 643
  • 13.11.3 Check Consistency 645
  • 13.11.4 Overview for Experts 646
  • 13.11.5 Production Startup 646
  • 13.12 Information System 649
  • 13.12.1 Define Sort Versions for Asset Reports 650
  • 13.12.2 Define Simulation Variants for Depreciation Reports 651
  • 13.12.3 Asset History Sheet 651
  • 13.13 Summary 653
  • 14 Consolidation Preparation (New) 655
  • 14.1 General Specifications 656
  • 14.1.1 Assign Scenarios and Customer Fields to Ledgers 656
  • 14.1.2 G/L and FS Charts of Accounts 657
  • 14.1.3 Transaction Types 662
  • 14.2 Company Consolidation 665
  • 14.2.1 Master Data Assignments 665
  • 14.2.2 Maintain Document Types for Transaction Processing 667
  • 14.3 Summary 668
  • 15 Lease Accounting (FI-LA) 669
  • 15.1 Lease Accounting Engine (FI-LAE) 670
  • 15.2 Basic Settings 672
  • 15.2.1 Assign Accounting Principles to Company Code 672
  • 15.2.2 Create Company Code Grouping Key 673
  • 15.2.3 Assign Company Code to Grouping Key 673
  • 15.2.4 Assign Interest Calculation Method to Company Code 674
  • 15.2.5 Specify Dates for Postings 675
  • 15.3 Value Determination 676
  • 15.3.1 Settings for Value Transfer 676
  • 15.3.2 Value Determination using Determination Method 680
  • 15.3.3 Value Determination using Substitution 681
  • 15.4 Complete Mandatory Settings in Customizing 682
  • 15.5 Reports 683
  • 15.6 Summary 684
  • 16 Travel Management (FI-TV) 685
  • 16.1 Travel Management Process Flow 686
  • 16.2 Set Up Travel Management 688
  • 16.3 Set Up Trip Number Ranges 690
  • 16.4 Travel Request 692
  • 16.4.1 Define Other Travel Services 693
  • 16.4.2 Define Travel Mediums and Estimated Costs to Be Approved 694
  • 16.5 Travel Planning 696
  • 16.5.1 Master Data 696
  • 16.5.2 Rates and Discounts 701
  • 16.5.3 Trip Rules and Profiles 704
  • 16.5.4 Travel Policy 707
  • 16.5.5 Process Control 711
  • 16.6 Travel Expenses 713
  • 16.6.1 Master Data 714
  • 16.6.2 Trip Reimbursement Amounts 718
  • 16.6.3 Wage Types for Interfaces 720
  • 16.6.4 Transfer to Accounting 722
  • 16.7 Employee Self-Service (ESS) 724
  • 16.8 Integration of Travel Planning and Travel Expenses 725
  • 16.8.1 Activate Request/Plan/Expense Report in Travel Manager and for Web Dynpro 725
  • 16.8.2 Activate Integration: Travel Planning Travel Expenses 726
  • 16.9 Integration of Travel Management and Payroll 726
  • 16.10 Reports 727
  • 16.11 Summary 728
  • 17 SAP Upgrade and Migration 731
  • 17.1 SAP Upgrade 731
  • 17.1.1 Technical and Functional Upgrade 732
  • 17.1.2 SAP Enhancement Packages, SAP Support Packages, and SAP Support Package Stacks 732
  • 17.2 Upgrade Strategy 734
  • 17.3 Role of SAP Solution Manager in an SAP Upgrade 735
  • 17.4 Upgrade Tools 736
  • 17.4.1 Tools for Upgrades/Enhancement Package Implementation 736
  • 17.4.2 Technical Upgrade/Implementation Tools 738
  • 17.4.3 Change Management Tools 739
  • 17.4.4 Testing Tools 740
  • 17.5 Upgrade Process 741
  • 17.5.1 System Preparation 741
  • 17.5.2 SPDD Adjustments 742
  • 17.5.3 System Upgrade to SAP ERP 6.0 744
  • 17.5.4 SPAU Adjustments 744
  • 17.5.5 ABAP Remediation of Custom Developments 746
  • 17.5.6 Testing and Issue Resolution 746
  • 17.5.7 Cut-Over and Go-Live 746
  • 17.5.8 Post Go-Live Support 747
  • 17.6 Best Practices 747
  • 17.7 Pitfalls and Issues 748
  • 17.8 Migration 749
  • 17.9 Summary 750
  • 18 Miscellaneous 751
  • 18.1 Factory Calendar 751
  • 18.1.1 Define Factory Calendar per Currency 755
  • 18.1.2 Assign Factory Calendar to Plants 755
  • 18.1.3 Factory Calendar and Room Reservation Management 756
  • 18.2 Schedule Manager 756
  • 18.2.1 The User Interface 757
  • 18.2.2 Individual Functions 760
  • 18.3 Closing Cockpit 762
  • 18.3.1 Schedule Manager vs. Closing Cockpit 762
  • 18.3.2 Components 763
  • 18.3.3 Transactions 763
  • 18.3.4 Configuration: Process Flow 764
  • 18.4 Conclusion 769
  • The Author 771
  • Index 773

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