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所在平台: Udemy |
课程主页: https://www.udemy.com/course/sap-accounts-receivable/
课程评论:没有评论
课程概述: 欢迎参加Uplatz的SAP应收账款课程。本课程将深入探讨SAP FI模块中的应收账款管理,帮助您记录和管理所有客户的会计数据。应收账款是销售管理的重要组成部分,所有的会计分录都直接记录在总账中。课程内容涵盖与不同交易相关的G/L账户更新,例如应收款、预付款和汇票。此外,系统提供多种工具来监控未结项目,如账户分析、警报报告、到期日列表和灵活的催款程序。您可以根据需求个性化设置相关的信函、付款通知、余额确认、账户报表和利息计算。 课程还介绍了如何使用用户友好的界面进行incoming payments分配,以及通过电子手段(如EDI)进行支付。应收账款中的交易文档可以通过余额清单、日记账和审计跟踪等标准报告进行记录。在编制财务报表时,外币项目会重新估值,客户作为供应商列出,并根据剩余期限对账户余额进行排序。 应收账款为有效的信用管理和流动性规划提供了所需的数据,并与其他SAP模块(如SAP SD)集成良好。通过基于云的应收账款组件(SAP S/4HANA Finance),您能够提高现金流和支付可见性,降低成本,并改善供应商关系、定价和支付条款,通过加强对发票管理流程的控制来实现这些目标。 Uplatz提供了这一全面的SAP应收账款课程,您将学习到SAP应收账款子模块的每一个功能、配置和使用方法,配合真实场景和实践例子。本课程适合从初学者到高级用户的逐步学习。 课程结束时,您将掌握以下高层次主题: - 学习在FI中运行应收账款业务流程 - 执行常规任务:客户发票、预付款等 - 重置、反转、变更和显示关键FI-AR文档 - 创建客户账户组 - 创建客户主记录的编号范围 - 为客户账户组分配编号范围 - 创建客户的容差组 - 客户主记录的创建(显示/变更/阻止/解锁) - 记录客户交易(销售发票记账、付款处理、借记票据) - 显示客户余额和G/L余额 - 客户预付款的配置设置(预付款) - 客户付款条款的配置设置 - 催款设置的配置 - 生成催款信 - 定义信函和对方账户报表 - 汇票的处理 - 销售退货的记账 通过本课程,您将全面了解SAP应收账款的功能和应用。
A warm welcome to the Accounts Receivable in SAP course by Uplatz.Accounts Receivable in SAP FI records and manages accounting data of all customers. It is also an integral part of sales management. All postings in Accounts Receivable are recorded directly in the General Ledger. Different G/L accounts are updated depending on the transaction involved (for example, receivables, down payments, and bills of exchange). The system contains a range of tools that you can use to monitor open items such as account analyses, alarm reports, due date lists, and a flexible dunning program. The correspondence linked to these tools can be individually formulated to suit your requirements. This is also the case for payment notices, balance confirmations, account statements, and interest calculations. Incoming payments can be assigned to due receivables using user-friendly screen functions or by electronic means such as EDI.There are are a range of tools available for documenting the transactions that occur in Accounts Receivable viz. balance lists, journals, balance audit trails, and other standard reports. When drawing up financial statements, the items in foreign currency are revalued, customers who are also vendors are listed, and the balances on the accounts are sorted by their remaining life.Accounts Receivable provides the data required for effective credit management as well as important information for the optimization of liquidity planning. It integrates well with other SAP modules such as SAP SD.With the cloud based Accounts Receivable component (SAP S/4HANA Finance) you can boost cash flow and payment visibility, cut costs, and improve vendor relations, pricing, and payment terms by gaining tighter control over invoice management processes. By monitoring receivables and payments in real time, S/4HANA Accounts Receivable helps you rapidly respond to fluctuating market dynamics, identify risky accounts, and improve financial health.Uplatz provides this comprehensive course on Accounts Receivable in SAP. You will learn each and every feature, functionality, configuration, and usage of SAP Accounts Receivable sub-module in this comprehensive SAP Accounts Receivable training with real-world scenarios and practical examples. Uplatz's SAP Accounts Receivable course is an extensive and step-by-step course from beginners to advanced level.At the end of the SAP Accounts Receivable training, you will have knowledge of these high-level topics:Learn how accounts receivable business processes are run in FIPerform your routine tasks: customer invoices, down payments, and moreReset, reverse, change, and display key FI-AR documentsAccounts Receivable in SAP - Course CurriculumCreation of customer account groupsCreation of number ranges for customer master recordsAssignment of number ranges for customer account groupsCreation of tolerance group for customersCreation of customer master (display/change/block/unblock of vendor master)Posting of customer transactions (sales invoice posting, payment posting, debit memo)Display customer balances and G/L BalancesConfiguration Settings for advance payment from customers (down payment)Configuration settings for terms of payment to customersConfiguration of settings for dunningGenerating the dunning lettersDefining correspondence and party statement of accountsBills of exchangePosting of sales returns