Tuesday, July 14, 2009

SAP FICO Certification Questions

0 comments

Question:
Which of the following statements are correct? 

A   More than one chart of accounts can be created for each client 
B   The chart of accounts contains all the G/L accounts, vendor accounts and customer accounts 
C   More than one company code can be allocated to the same chart of accounts 
D   The chart of accounts controls all the customising settings in the R/3 system 
E   All accounts within a chart of accounts must have the same tax code 

Question:
What status reports does Cash Management and forecasting include?

A.  Cash management position 
B.  Liquidity forecast
C.  Credit limit report
D.  G/L account balances
E.  Bill holdings

Question:
Which of the following are clearing procedures in accounts receivable?

A.  Incoming payment
B.  Down payment request
C.  Credit memo
D.  Transfer posting

Question:
When creating an Overhead Cost Order, the first order information which must be entered is:

A.  Order status
B.  Order type
C.  Settlement type
D.  Curreny
E.  Classification code

Question:
When creating an Overhead Cost Order, the settlement rule must be entered in the control data.
Which settlement receivers are available for internal orders?

A.  Cost center
B.  Orders
C.  General ledger accounts
D.  Asset
E.  Vendor

Question:
In Controlling, a distinction is made between master data, planning, actual data and the information system.
Which of the following master data belongs to Controlling?

A.  G/L account
B.  Work center
C.  Cost center
D.  Activity type
E.  Supplier

Question:
Withing Overhead Cost Controlling activities are calculated.  A Sender/Receiver relationship exists.  However, not all Sender/Receiver combinations are allowed.
Which of the following combinations make business sense?

A.  Sender.   Cost Center, Order, Project
      Receiver. Cost Center, Order, Project
B.  Sender.   Order
      Receiver. Cost Center, Project
C   Sender.   Cost Center
      Receiver. Cost Center, Order, Project, Cost Object

Question:
Period closing activities are also performed in Controlling.  This is dependent on certain prerequisites.  Which of the following are MINIMUM criteria before it makes sense to carry out period closing?

A.  The posting period has been closed.
B.  Materials have been withdrawn.
C.  Personnel costs have been incurred.
D.  Overhead has been incurred.
E.  An order was closed.

Answers for SAP FI/CO Certification Sample Questions

Question:
Which of the following statements are correct? 

Answer:
A   More than one chart of accounts can be created for each client 
B   The chart of accounts contains all the G/L accounts, vendor accounts and customer accounts 
C   More than one company code can be allocated to the same chart of accounts 
D   The chart of accounts controls all the customising settings in the R/3 system 
E   All accounts within a chart of accounts must have the same tax code 

Question:
What status reports does Cash Management and forecasting include?

Answer:
A.  Cash management position 
B.  Liquidity forecast
C.  Credit limit report
D.  G/L account balances
E.  Bill holdings

Question:
Which of the following are clearing procedures in accounts receivable?

Answer:
A.  Incoming payment
B.  Down payment request
C.  Credit memo
D.  Transfer posting

Question:
When creating an Overhead Cost Order, the first order information which must be entered is:

Answer:
A.  Order status
B.  Order type
C.  Settlement type
D.  Curreny
E.  Classification code

Question:
When creating an Overhead Cost Order, the settlement rule must be entered in the control data.
Which settlement receivers are available for internal orders?

Answer:
A.  Cost center
B.  Orders
C.  General ledger accounts
D.  Asset
E.  Vendor

Question:
In Controlling, a distinction is made between master data, planning, actual data and the information system.
Which of the following master data belongs to Controlling?

Answer:
A.  G/L account
B.  Work center
C.  Cost center
D.  Activity type
E.  Supplier

Question:
Withing Overhead Cost Controlling activities are calculated.  A Sender/Receiver relationship exists.  However, not all Sender/Receiver combinations are allowed.
Which of the following combinations make business sense?

Answer:
A.  Sender.   Cost Center, Order, Project
      Receiver. Cost Center, Order, Project
B.  Sender.   Order
      Receiver. Cost Center, Project
C.   Sender.   Cost Center
      Receiver. Cost Center, Order, Project, Cost Object

Question:
Period closing activities are also performed in Controlling.  This is dependent on certain prerequisites.  Which of the following are MINIMUM criteria before it makes sense to carry out period closing?

Answer:
A.  The posting period has been closed.
B.  Materials have been withdrawn.
C.  Personnel costs have been incurred.
D.  Overhead has been incurred.
E.  An order was closed.

Read full story

SAP FICO Interview Questions

0 comments

1. what is chart of account? what is the relevance of defining chart of account?

2. what is account group? what does it control?

3. what is posting key? what is its role?

4. what is business area?

5. while defining chart of account, there is field " manual creaation of cost element" and "automatic creation of cost element". what is it?

6. after creating a customer/vendor, how can we check that under which account group we have configured this customer/vendor?

7 how the system will know that april is your first posting period?

8. define the term "fiscal year" , "posting period varient" & " field status varient"

9. what do u mean by "open item management" & "line item display"

1. Chart of Account contains all the list of all G/L accounts. Either one or many company codes can use the same chart of accounts.

Relavance
For each G/L account, the chart of accounts contains the account number, account name, and the information that controls how an account functions and how a G/L account is created in a company code.

2. Account Group defines the attributes that determine the creation of master records.

The account group mainly controls,
The data that is relevant for the master record.
A number range from which numbers are selected for the master records.
An account group must be assigned to each master record.

3 Posting Key
Defines the type of account (e.g., Customer, Vendor, G/L account, Material, Asset)
Determines whether the entry is a debit or credit
Indicates special properties (e.g. Reversal Posting Key, Special G/L transaction, etc.)
Data entry screen for the line item via the field status group

4. Business Area
Business Areas are used to differentiate transactions originating from different points/lines/locations in business. Business areas are primarily used to facilitate external segment reporting across company codes, covering the company's main areas of operation (product lines, branches). They are used for internal reporting purpose

5. When automatic creation of cost element is selected the primary cost element is created automatically in CO for each G/L account created (only accounts related to Profit and Loss account group). Where as when manual creation of cost element is selected we need to create cost element in CO manually whenever needed.

6. Customer / Vendor Account Group
https://www.sdn.sap.com/irj/sdn/thread?messageID=4850903&#4850903

7 First posting period
Fiscal Year is a period of 12 months and SAP provides 4 special periods to posting adjustment Entries. Fiscal year determines posting periods and while defining the posting periods in fiscal year variant in corresponding field of the 4th month we will give 1 (in the period column) by which system determines April as the 1st posting period.
This link will give you clear picture
http://www.sap-img.com/financial/setup-fi-fiscal-year-period.htm

8.
Fiscal Year
http://help.sap.com/saphelp_40b/helpdata/es/95/e42c7dd435d1118b3f0060b03ca329/content.htm
Posting Period Variant
The Posting period variant controls which posting periods, both normal and special, are open for each company code. It is possible to have a different posting period variant for each company code in the organization. The posting period is independent of the fiscal year variant.
Field Status Variant
Field Status Variant is a bundle of field status groups.
Field Status Groups determines document screen layout during posting of a document.

9. Open Item Management & Line Item Display
https://www.sdn.sap.com/irj/sdn/thread?messageID=4782748&#4782748

Read full story

JS-Kit Comments

 

Copyright 2008 All Rights Reserved | Revolution church Blogger Template by techknowl | Original Wordpress theme byBrian Gardner