Day 7 – Basic CO Reporting, Reconciling and Reviewing Month End Statements
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[lightweight-accordionsub1 title=”Pre-class Material” expanded=”true” tag=”h4″]- Course Slides
- Course Slides
| Reference Guides | |
| 1 | Setting up Excel for use with SAP |
| 2 | ZS03/ZS01 – Cost Center without and with Internal Orders (Plan vs Actuals) |
| 3 | Line Item Functionality |
[lightweight-accordionsub3 title=”Management Reports – To be reviewed by Head of Department (e.g. Chair/Director/Manager/Principal or Dean)” expanded=”true” tag=”h4″]
| Reference Guides | |
| 1 | ZFTR106 – Statement of Accounts Report – Funds Centers and Non-Research |
| 2 | ZFTR076: Cheques payable to person processing payment |
| 3 | ZFTR075: Financial Transaction Exception Report |
| 4 | ZHMR_ZHMR042T: HR: New Hire/Termination Report by top level Funds Center |
| 5 | ZHJR_ZHMR048: HR: Payroll Exception Report by top level Funds Center |
| 6 | ZFPR004: List of payments |
- Simulation: How to Locate your Cost Center Hierarchy
- Simulation: How to Create and Retrieve Report Selection Screen Variants
- Simulation: How to Create Custom Line Item Reports
- Simulation: How to use Dynamic Selections in FIS Reports
- Simulation: Understanding the Linking Table and it’s Impact on the CO Planning Process
- Documentation and Support – Month End Reports
- Documentation and Support – Management Reports
- Simulation: Submitting Month End Reports in the Background
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COURSE EVALUATION





