Automatic account determination (MM-FI ) full explanation.

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本课程“自动账户确定 (MM-FI) 全解析”深入讲解了 SAP MM-FI 模块中物料和财务会计之间的关联,重点在于说明如何自动确定账户。 课程主要内容包括: 1. **物料主数据与评估类:** 课程首先阐述了在物料主数据中维护物料以及将其评估类与会计科目关联的重要性。评估类是连接物料类型和财务科目的关键。 2. **物料类型的作用:** 物料类型在确定账户中扮演核心角色,其配置(数量/价值选项)决定了物料在主数据创建时自动带出的评估类。 3. **账户类别参照(Mediator):** 账户类别参照作为物料类型和评估类之间的桥梁,通过定义账户类别参照来创建评估类,并将物料类型与其关联。这使得一个物料类型可以关联多个评估类。 4. **评估类的作用:** 评估类根据物料组的数量进行定义,并与具体的总账科目相链接,确保不同类型的物料能够映射到正确的财务科目。 5. **评估区域:** 课程强调了在工厂级别进行物料评估的必要性,并指出一旦在企业结构中定义,评估区域就不能更改。 6. **评估分组码:** 课程讲解了如何将具有相同属性和账户确定规则的工厂归集为评估分组码,以简化 OBYC 设置中的条目数量,并统一这些工厂的科目映射。 7. **公司代码:** 公司代码包含了总账科目。通过为相似工厂设置评估分组码,这些工厂便会集成到公司代码中,从而在 OBYC 设置中实现对特定科目分组的自动选取。 8. **移动类型:** 课程最后解释了移动类型如何在 MIGO 等交易中触发账户的确定。移动类型与其相关的通用修改码和交易事件码相链接,以此来实现不同采购流程(如分包、寄售、管道、货物转移)的科目映射。 总而言之,本课程详细介绍了 SAP MM-FI 账户确定机制的各个环节,从物料设置到财务映射,为学习者提供了全面的理解。

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1.MaterialWe will create/Order the material from the vendor and for that we need to maintain the material in material master and along with that we are linking valuation class in accounting 1 view for each material with the help of material type.Link- Valuation class is linked to GL accounts in OBYC (Will study deeply below)2. Material typeMaterial type plays an important role in account determination, where while creating material type, we are mentioning the quantity/Value tabs and, we are maintaining the valuation class with respect to material type in material master.So that whenever we create material for that material type then automatically certain valuation classes with appear to update the material in material master with the help of account category reference (Linking will study below)3. Account category referenceAccount category reference acts as a mediator between the material type and valuation class, where we will define the account category reference to create the valuation class and assigning the material type to account category reference (A=B, B=C= AC)If we have 10 material types, then we can create 10 account category references and each account category reference will have certain valuation classes like 5 valuation classes (Based of material groups how many we have under 1 material type).But 1 material type will have only 1 account category reference.E.g.: Account category reference - 0111(create New)Account category reference-Valuation classes- RK01, RK02, RK03, RK04, RK05(Create valuation classes)Material type (ROH)- Account category reference (0111) (Link to Material type)Now automatically material type ROH will take valuation classes - RK01, RK02, RK03, RK04, RK05Note: We need to mention the correct valuation class while creating material in material master manually, so that respective GL will pick up (Will learn below how)-This step will be done by MDM team, but we need to train them like on what basis we need to update the valuation class.4. Valuation classValuation class is defined as for 1 material type how many material groups- Based on real scenarioIf we have 10 material groups under the category of 1 material type, then we will create 10 valuation classes and each valuation class will be linked to creation GL accounts (It may change as per your organization rules)We need to select the correct valuation class depends on the material; MDM team will take care on this how to update.5.Valuation areaAs we know all the organizations will evaluate the material in plant /Company code level and SAP recommends valuating the material in plant level because price may change plant to plant as per the state and specifications.We need to check the option that valuation area at plant level and we cannot change it once its defined in enterprise structure.6.Valuation grouping codeWe have certain plants having same attributes with same account determination, so all those plants will combine and create a valuation grouping code.We will make all those plants to one grouping code and assign GL accounts as per that so that it will reduce the number of entries in OBYC settings.So that all that plants will trigger same set of GL accounts with the help of Chart of accounts for the entire grouping code.If we require a separate GL account system, then we need to create a new valuation grouping code it means 2 grouping codes for same chart of accounts with different GL accounts in OBYC.Generally, for 1 valuation grouping code, we may create 4-5 different or same accounts in OBYC (FI Consultants will do this) because we may have different types of procurements like sub-contracting, Consignment, Pipeline, Goods transfer.We can achieve the above step with the help of general modifiers (Explained below thoroughly).7.Chart of accountsHere chart of accounts contains a certain GL accounts, where INT contains all GL accounts and as we maintained valuation grouping code for similar plants then automatically all those plants will come under the chart of accounts INT.Depends on the procurement order type GL account will take automatically.8.Movement typeAs we explained in starting page of blog, GL accounts will be triggered when we are doing MIGO, so movement types are linked to general modifiers and these settings are standard and every organization will follow the same settings as SAP recommended.Every movement type is linked with certain general modifiers and transaction event key.Note: Modifiers can be allowed only for GBB and PRDSome of the general modifiers are VBR, VNG, VBOAs per the procurement process like sub-contracting, Consignment, Pipeline, Goods transfer these general modifiers will come and hit the respective GL accounts

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