SAP R/3 FI Transactions
暫譯: SAP R/3 FI 交易

V. Narayanan

  • 出版商: Infinity Science Pre
  • 出版日期: 2006-12-01
  • 售價: $2,080
  • 貴賓價: 9.5$1,976
  • 語言: 英文
  • 頁數: 518
  • 裝訂: Hardcover
  • ISBN: 1934015016
  • ISBN-13: 9781934015018
  • 相關分類: SAP
  • 無法訂購

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商品描述

Description

This is an up-to-date “quick reference guide” for an easy, fast, and convenient way of learning SAP R/3 Financial transactions(v.4.6C & 4.7). The book is a ready reference on “transactions” made accessible by looking at transaction codes that are logically and conveniently arranged under various functional areas within FI. The coverage includes General Ledger, Accounts Payable, Accounts Receivable, and Asset Accounting. A miscellaneous chapter covers configuring essential items like document number ranges, exchange rate maintenance, and payment term configuration. Features +Compatible with the latest versions of SAP R/3(v 4.6C and v.4.7) + Contains a complete list of transactions/menu is provided in a easy-to-read table format for each of the functional areas of GL, AP, AR & AA +Explains the business process behind the transaction by providing an overview before each transaction + Highlights the tricky areas in transaction processing, offering techniques and screenshots to overcome them Table of Contents (Selected Transactions Only) FI- GL: General Ledger 1. GL - Easy Access: FSMN 4. 2. GL- User Parameters (Editing Options): FB00. 3. GL – Account Assgmt Model: FKMT 24. 4. GL – Doc. Entry: FB50 35. 5. GL – Cash Journal Posting: FBCJ. 6. GL - Document Entry – General Posting: F-02. 7. GL - Post Incoming Payments: F-06. 9. GL – Change Doc.: FB02. 11. GL – Reverse Doc.: FB08. 12. GL Acct. - Display Balances: FS01N. 13. GL Master Record – Create Centrally: FS00. 14. GL - Create Account (mass maintenance) – Chart of Accts Area: OB_GLACC11. 15. GL - Create Account (mass maintenance) – Company Code Data: OB_GLACC12. 16. GL - Maintain Acct Description (mass mainten.): OB_GLACC13. 17. GL - Create Sample Account: FSM1. 19. GL – Bal. Audit Trail: S_ALR_87100205. 20. GL Open Item Acct Balance Audit Trail: S_ALR_87012317. 22. GL - Cash Flow Report – Direct Method: S_ALR_87012271. 23. GL - Open Item Accot Balance Audit Trail: S_ALR_87012257. 24. GL - Open Item Acct Balance Audit Trail:S_ALR_87012284. F.16.FI- AP: Accounts Payable. 26. AP-Easy Access-FKMN. 27. AP-Post Vendor Invoice-FB60. 28. AP-Post Vendor Credit memo-FB65. 29. AP-Post Vendor Invoice, using Purchasing docs-MIRO. 30. AP-Post Vendor Credit Memo, using Purchasing docs-MIRO. 32. AP-Post Outgoing Payments and Print Forms-F-58.doc. 34. AP-Change Payment Doc.-FB02.doc. 35. AP-Display Payment Document-FB03.doc. 37. AP-Change Line Item-FB09. 38. AP-Display / Change Vendor Line Item-FBL1N. 39. AP-Create Vendor Master, Centrally-XK01.doc. 40. AP-Change Vendor Master-XK02.doc. 42. AP-Block Unblock Vendor, Centrally-XK05.doc. 43. AP-Create Vendor Master, Company Code area-FK01. 44. AP-Create Bank Master-FI01. 46. AP-Payment Program-F110.doc. FI- AR: Accounts Receivable. 47. AR-Easy Access-FDMN. 48. AR-Post Incoming Payments-F-28. 49. AR-Docs, Mass Reversal - F.80. 51. AR-Customer Master Display Changes-FD04.doc. 52. AR-Delete Reference Doc: F.57. 53. AR-Parked Doc, Refuse-FBV6.doc. 54. AR-Display Cust Balances-FD10N. 55. AR-Customer ! Acct Analysis-FD11. 56. AR-Assign, Clear Open items-FB15.doc. 57. AR-Change Cust. Master-XD02.doc. 58. AR-Display Customer Master-XD03.doc. 59. AR-Block Unblock Customer Master-FD05.doc. 60. AR-Block Unblock Customer, Centrally-XD05.doc. 61. AR-Credit Management, Change Master Data-FD32.doc. 63. AR-Periodic Processing-Dunning-F150.doc. FI- AA: Asset Accounting. 64. AA-Easy Access-ASMN. 65. AA-Master Record-Create Asset-AS01.doc. 66. AA-Asset Acquisition from in-house production-ABZE.doc. 67. AA-Asset Acq. with Auto Offsetting entryr-ABZON.doc. 68. AA-Asset Explorer-AW01N.doc. 70. AA-Asset Sale without Customer-ABAON.doc. 71. AA-Asset Trans. with in Company Code-ABUMN.doc. 73. AA-Depreciation Run-AFAB.doc. Miscellaneous. 74. Schedule Manager: SCMA. 75. Copy Number Ranges to Fiscal Year: OBH2. 76. Maintain Currency Exch. Rates

商品描述(中文翻譯)

**描述**

這是一本最新的「快速參考指南」,提供一種簡單、快速且方便的方式來學習 SAP R/3 財務交易(版本 4.6C 和 4.7)。本書是關於「交易」的即時參考,通過查看在 FI 各功能區域下邏輯且方便排列的交易代碼來獲得。內容涵蓋一般分類帳、應付帳款、應收帳款和資產會計。一個雜項章節涵蓋了配置基本項目,如文件編號範圍、匯率維護和付款條件配置。

特點:
+ 與最新版本的 SAP R/3(版本 4.6C 和 4.7)相容
+ 提供每個功能區域(GL、AP、AR 和 AA)的交易/菜單完整列表,以易讀的表格格式呈現
+ 通過在每個交易之前提供概述,解釋交易背後的業務流程
+ 突出交易處理中的棘手區域,提供技術和截圖以克服這些問題

目錄(僅選擇交易)
FI- GL:一般分類帳
1. GL - 簡易訪問:FSMN
2. GL - 使用者參數(編輯選項):FB00
3. GL - 帳戶分配模型:FKMT 24
4. GL - 文件輸入:FB50
5. GL - 現金日記帳過帳:FBCJ
6. GL - 文件輸入 - 一般過帳:F-02
7. GL - 過帳進項付款:F-06
9. GL - 變更文件:FB02
11. GL - 反向文件:FB08
12. GL 帳戶 - 顯示餘額:FS01N
13. GL 主記錄 - 中央創建:FS00
14. GL - 創建帳戶(批量維護) - 帳戶圖表區域:OB_GLACC11
15. GL - 創建帳戶(批量維護) - 公司代碼數據:OB_GLACC12
16. GL - 維護帳戶描述(批量維護):OB_GLACC13
17. GL - 創建範本帳戶:FSM1
19. GL - 餘額審計追蹤:S_ALR_87100205
20. GL 開放項目帳戶餘額審計追蹤:S_ALR_87012317
22. GL - 現金流報告 - 直接法:S_ALR_87012271
23. GL - 開放項目帳戶餘額審計追蹤:S_ALR_87012257
24. GL - 開放項目帳戶餘額審計追蹤:S_ALR_87012284

FI- AP:應付帳款
26. AP - 簡易訪問 - FKMN
27. AP - 過帳供應商發票 - FB60
28. AP - 過帳供應商信用憑證 - FB65
29. AP - 使用採購文件過帳供應商發票 - MIRO
30. AP - 使用採購文件過帳供應商信用憑證 - MIRO
32. AP - 過帳支出付款並列印表單 - F-58.doc
34. AP - 變更付款文件 - FB02.doc
35. AP - 顯示付款文件 - FB03.doc
37. AP - 變更行項 - FB09
38. AP - 顯示/變更供應商行項 - FBL1N
39. AP - 中央創建供應商主檔 - XK01.doc
40. AP - 變更供應商主檔 - XK02.doc
42. AP - 中央封鎖/解鎖供應商 - XK05.doc
43. AP - 創建供應商主檔,公司代碼區域 - FK01
44. AP - 創建銀行主檔 - FI01
46. AP - 付款程序 - F110.doc

FI- AR:應收帳款
47. AR - 簡易訪問 - FDMN
48. AR - 過帳進項付款 - F-28
49. AR - 文件,大量反轉 - F.80
51. AR - 客戶主檔顯示變更 - FD04.doc
52. AR - 刪除參考文件 - F.57
53. AR - 停放文件,拒絕 - FBV6.doc
54. AR - 顯示客戶餘額 - FD10N
55. AR - 客戶帳戶分析 - FD11
56. AR - 指派,清除開放項目 - FB15.doc
57. AR - 變更客戶主檔 - XD02.doc
58. AR - 顯示客戶主檔 - XD03.doc
59. AR - 封鎖/解鎖客戶主檔 - FD05.doc
60. AR - 中央封鎖/解鎖客戶 - XD05.doc
61. AR - 信用管理,變更主數據 - FD32.doc
63. AR - 定期處理 - 催款 - F150.doc

FI- AA:資產會計
64. AA - 簡易訪問 - ASMN
65. AA - 主記錄 - 創建資產 - AS01.doc
66. AA - 從內部生產獲得資產 - ABZE.doc
67. AA - 資產獲得與自動抵銷分錄 - ABZON.doc
68. AA - 資產瀏覽器 - AW01N.doc
70. AA - 無客戶的資產銷售 - ABAON.doc
71. AA - 公司代碼內的資產轉移 - ABUMN.doc
73. AA - 折舊運行 - AFAB.doc

雜項
74. 排程管理器:SCMA
75. 複製編號範圍到財政年度:OBH2
76. 維護貨幣匯率