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TEST BORRADO, QUIZÁS LE INTERESE: SAP S/4 HANA FI
COMENTARIOS ESTADÍSTICAS RÉCORDS
REALIZAR TEST
Título del Test:
SAP S/4 HANA FI

Descripción:
Chapter 6

Autor:
zamed
OTROS TESTS DEL AUTOR

Fecha de Creación:
13/11/2020

Categoría: Otros

Número Preguntas: 22
COMPARTE EL TEST
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Temario:
1. When adding a bank to the bank directory, which field required? A. Company code B. Opening date C. Currency D. Country.
2.- On which level do you maintain the bank directory? A. Bank area B. Company code C. Client D. Profit center.
3.- What is defined in the bank account connectivity path settings? A. Payment approvers for workflows B. Business partner assigned to the bank C. House bank account ID details D. Relevant profit center and segment.
4.- When creating a bank as a business partner, what roles are assigned to the business partner by default? (There are three correct answers) A. Customer B. Supplier C. General D. Financial services E. Bank.
5.- What are the differences between holding and parking document? (There are two correct answers) A. The held document does not have a document number assigned. B. The held document can be incomplete C. The parked document can trigger workflow processes D.. The parked document is considered for financial statements.
6.- On which level is the document parking workflow variant assigned? A. Company code B. Company code C. Business partner D. Profit center.
7.- How you can you differentiate the document parking workflow process on the business partner level? A. Assign different workflow release group B. Assign different payment method C. Assign different business partner grouping D. Assign different responsible organization unit.
8.- True or False: Subworkflows define the number of release levels in the document parking workflow process. A. True B. False.
9.- What options does a processor for a general journal entry submitted for verification have? (There are three correct answers) A. Park B. Approve C. Delete D. Reject E. Submit.
10.- Which values can you define as prerequisites for triggering the general journal entry verification workflow? (There are three correct answers) A. Account group B. Target company code C. cost center D. Source company code E. Profit center.
11.- Why would you choose to implement the document parking workflow for journal entry verifications, compared to the general journal entry verification process? A. You don't use SAP Fiori B. You need to define two level verification C, You are running SAP S/4HANA 1610 D. You don't know how to configure the new functionality.
12.- What are the basic definitions you make for validations? (There are three correct answers) A. Prerequisite B. Check C. Rule D. Set E. Message.
13.- At which levels can valuations and substitutions for financial accounting be defined? (There are three correct answers) A. Line item B. System data C. Universal journal D. Complete document E. Header.
14.- True or False: A single substitution step can be defined to substitute multiple fields in a document. A. True B. False.
15.- True or False: Multisets can be created if they combine data from basic sets that all group the same characteristic. A. True B. False.
16.- What is the main motivation for creating rules for substitutions and validation? A. Simple definition tools B. Reuse in multiple steps C. Not bound by boolean logic D. Additional fields available.
17.- What are the steps in customizing of data archiving? (There are three correct answers) A. Define archiving storage locations. B. Perform cross object Customizing. C. Define table partitions. D. Activate data aging objects. E. Perform object specific Customizing.
18.- What is a reason for performing data archiving? A. To have fewer downtime cycles B. To control hardware requirements C. To protect data from being lost D. To back up data on a separate drive.
19.- True or False: If you can delete a general ledger account for company code, you can also remove it from the chart of accounts. A. True B. False.
20.- True or False: You execute data aging separately for each data aging objects. A. True B. False.
21.- Which of the following is a difference between data aging and data archiving? A. Data archiving allows you to remove the aged data for analysis. B. Data aging free up memory space. C. Data archiving removes data from the database. D. Data archiving has advanced legging capabilities.
22.- On which levels can you maintain useful life for documents of a company code in the context of data aging? (There are two correct answers) A. Document type B. Account type C. Number range interval D. Profit center.
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