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SAP S/4HANA Cloud Public Edition Finance Training
Glossary of Terms
Glossary of SAP S/4HANA Cloud Public Edition Finance terms
Session 1 - Scope of Support and Built-In Support Features
Demo - Introduction to SAP S/4HANA Cloud Finance (38:26)
Session Video - Scope of Support and Built-In Support Features (38:08)
Assignment
Quiz
Session 2 - Support Channels and Customer Interaction Center
Session Video - Support Channels and Customer Interaction Center (37:06)
Assignment
Quiz
Session 3 - Overview of SAP S/4HANA Public Cloud and Release Roadmap
Session Video - Overview of SAP S/4HANA Public Cloud and Release Roadmap (58:09)
Assignment
Quiz
Session 4 - Introduction to Central Business Configuration Setup
Session Video - Introduction to Central Business Configuration Setup (48:56)
Assignment
Quiz
Session 5 - Defining Scope and Primary Finance Settings
Session Video - Defining Scope and Primary Finance Settings (61:59)
Assignment
Quiz
Session 6 - Organizational Structure and Business Processes
Session Video - Organizational Structure and Business Processes (72:55)
Assignment
Quiz
Session 7 - Payables Management and Supplier Records
Session Video - Payables Management and Supplier Records (51:40)
Assignment
Quiz
Session 8 - Analyzing Payables and Receivables Items
Session Video - Analyzing Payables and Receivables Items (70:17)
Assignment
Quiz
Session 9 - General Ledger Setup and Chart of Accounts
Session Video - General Ledger Setup and Chart of Accounts (58:39)
Assignment
Quiz
Session 10 - Modifying and Reversing Journal Entries
Session Video - Modifying and Reversing Journal Entries (79:49)
Assignment
Quiz
Session 11 - Month-End and Year-End Closing Activities
Session Video - Month-End and Year-End Closing Activities (75:16)
Assignment
Quiz
Session 12 - Managing Financial Statements and Currency Settings
Session Video - Managing Financial Statements and Currency Settings (52:56)
Assignment
Quiz
Session 13 - Automatic Clearing and Manual Adjustments
Session Video - Automatic Clearing and Manual Adjustments (83:52)
Assignment
Quiz
Session 14 - Recurring Invoices and Supplier Invoice Settings
Session Video - Recurring Invoices and Supplier Invoice Settings (96:16)
Assignment
Quiz
Session 15 - Purchase Orders and Supplier Invoice Posting
Session Video - Purchase Orders and Supplier Invoice Posting (73:41)
Assignment
Quiz
Session 16 - Managing Supplier Data and Bank Settings
Session Video - Managing Supplier Data and Bank Settings (26:51)
Assignment
Quiz
Session 17 - Processing Supplier Invoices and Recurring Entries
Session Video - Processing Supplier Invoices and Recurring Entries (44:07)
Assignment
Quiz
Session 18 - Automatic Payment Run and Payment Proposal Process
Session Video - Automatic Payment Run and Payment Proposal Process (61:58)
Assignment
Quiz
Session 19 - Payment File Formats and Compliance Setup
Session Video - Payment File Formats and Compliance Setup (55:56)
Assignment
Quiz
Session 20 - Automatic Clearing and Currency Revaluation
Session Video - Automatic Clearing and Currency Revaluation (40:55)
Assignment
Quiz
Session 21 - Balance Carryforward and Ledger Adjustments
Session Video - Balance Carryforward and Ledger Adjustments (50:40)
Assignment
Quiz
Session 22 - Managing Asset Accounting and Acquisition
Session Video - Managing Asset Accounting and Acquisition (49:59)
Assignment
Quiz
Session 23 - Asset Retirements and Master Data Setup
Session Video - Asset Retirements and Master Data Setup (71:41)
Assignment
Quiz
Session 24 - Asset Depreciation and Year-End Activities
Session Video - Asset Depreciation and Year-End Activities (59:16)
Assignment
Quiz
Session 25 - Asset Reporting and Reconciliation Processes
Session Video - Asset Reporting and Reconciliation Processes (47:26)
Assignment
Quiz
Session 26 - Period-End Closing and Reclassification Steps
Session Video - Period-End Closing and Reclassification Steps (76:07)
Assignment
Quiz
Session 27 - Record to Report Process and Consolidation Steps
Session Video - Record to Report Process and Consolidation Steps (64:11)
Assignment
Quiz
Session 28 - Group Reporting Configuration and Scope Items
Session Video - Group Reporting Configuration and Scope Items (30:42)
Assignment
Quiz
Session 29 - Migration Topics and Revenue Accounting Overview
Session Video - Migration Topics and Revenue Accounting Overview (50:08)
Assignment
Quiz
Session 30 - Testing Strategy and Test Automation Tool Overview
Session Video - Testing Strategy and Test Automation Tool Overview (55:16)
Assignment
Quiz
Session 31 - Customer Master Data and Maintenance Methods
Session Video - Customer Master Data and Maintenance Methods (51:12)
Assignment
Quiz
Session 32 - Managing Customer Invoices and Receivables
Session Video - Managing Customer Invoices and Receivables (54:20)
Assignment
Quiz
Additional Videos
Session Video - 1. Introduction to S/4HANA Cloud (102:10)
Session Video - 2. CBC, Development Urls and Financial Accounting Tiles (97:21)
Session Video - 3. General Ledger Accounting (114:12)
Session Video - 4. Usage of Document Types (59:43)
Session Video - 5. Posting Journal Entries Manual (119:32)
Session Video - 6. Payables Management (103:46)
Session Video - 7. Payable Process Configuration (117:27)
Session Video - 8. Business Place Configuration (101:55)
Session Video - 9. Customer Master Data, Credit Memos (108:59)
Session Video - 10. Processing Customer Invoices, Sales and Receivables Reporting Integration (121:20)
Session Video - 11. Dunning Procedure, Dunning Levels (79:10)
Session Video - 12. Bank Master Data (106:40)
Session Video - 13. Cash Management and Financial Oversight Mastery (78:20)
Session Video - 14. Electronic Bank Statements Configuration, Currency Configurations, Foreign Currency Validations (83:42)
Session Video - 15. Bank Relationships, Cash and Liquidity, Cash Management (119:47)
Session Video - 16. Asset Accounting, Configuration, Asset Master Creation, Acquisitions, Retirements, Depreciations (116:20)
Session Video - 17. Financial Statement Creation, Financial Statement Management, Management of FSV, Posting Changes (87:29)
Session Video - 18. Cost Element Accounting, Cost Element Master Data, Primary Secondary Costs (119:55)
Session Video - 19. Internal Orders (112:16)
Session Video - 20. Configuring Group Reporting ,FSI, Consolidation Units, Consolidation Groups (128:01)
Session Video - 21. SAC, Reporting Dashboarding, Visualizations, Analysis, Story Building (109:20)
Session Video - 22. Data Integration, Data Migration, Business Process Testing, Test Automation, Predictive Analytics for SAC (110:25)
Session Video - 23. In App Extensibility, Side by Side Extensions, API Management (69:23)
Session Video - 24. Introduction to Tax Codes, Intercompany Accounting Basics (55:13)
Session Video - 25. Integration, Workflow (118:07)
Session Video - 26. Group Reporting (77:01)
Session Video - 27. Cashflow (48:06)
Assesments
Assessment - 1. Introduction to SAP S/4HANA Finance Cloud
Assessment - 2. Outlining the Record-to-Report Process in SAP S/4HANA
Assessment - 3. Describing the Payables Management Process in SAP S/4HANA
Assessment - 4. Describing the Receivables Management Process in SAP S/4HANA
Assessment - 5. Treasury & Bank Accounting
Assessment - 6. Performing Asset Accounting Process in SAP S/4HANA
Assessment - 7. Financial Closing
Assessment - 8. Management Accounting & Financial Planning Budgeting
Assessment - 9. Data Migration and Analytics
Assessment - 10. Extensibility & Integration
Assessment - 11. Additional Topics
Assignments
Assignment - 1. Introduction to SAP S/4HANA Finance Cloud
Assignment - 2. Outlining the Record-to-Report Process in SAP S/4HANA
Assignment - 3. Describing the Payables Management Process in SAP S/4HANA
Assignment - 4. Describing the Receivables Management Process in SAP S/4HANA
Assignment - 5. Treasury & Bank Accounting
Assignment - 6. Performing Asset Accounting Process in SAP S/4HANA
Assignment - 7. Financial Closing
Assignment - 8. Management Accounting & Financial Planning Budgeting
Assignment - 9. Data Migration and Analytics
Assignment - 10. Extensibility & Integration
Assignment - 11. Additional Topics
Lab Activity - Part A - CLS01 - Getting Started with Support from SAP (Support Accreditation)
Lab Activity - 1. Using Expert Chat
Lab Activity - 2. Using Schedule a Manager
Lab Activity - 3. Using Schedule an Expert
Lab Activity - 4. Using Support Assistant
Lab Activity - 5. Using the Support Log Assistant
Lab Activity - Part B - S4C01 - Implementing SAP S4HANA Cloud Public Edition
Lab Activity - 1. Request SAP Central Business Configuration via SAP for Me (3SL)
Lab Activity - 2. Manage User Setup and Access
Lab Activity - 3. Get Started with SAP Central Business Configuration
Lab Activity - 4. Set Up Evaluation Workspace
Lab Activity - 5. Define Scope
Lab Activity - 6. Assign Deployment Targets
Lab Activity - 7. Specify Primary Finance Settings
Lab Activity - 8. Set Up Organizational Structure
Lab Activity - 9. Deploy Scope and Organizational Structure
Lab Activity - 10. Add New Scope and Organizational Units
Lab Activity - 11. Configure Business Processes (3SL)
Lab Activity - 12. The SAP Fiori Launchpad
Lab Activity - 13. Getting Help
Lab Activity - 14. Exploring Extensibility Cockpit
Lab Activity - 15. Exploring UI Flexibility
Lab Activity - 16. Adding a Custom Field to the UI of a Document
Lab Activity - 17. Introducing the SAP S4HANA Migration Cockpit
Lab Activity - 18. Features of Manage Your Test Processes
Lab Activity - 19. Adapting Best Practice Automates
Lab Activity - 20. Creating a Test Data Container and its Variants
Lab Activity - 21. Setting Up Test Automation Tool
Lab Activity - 22. Maintaining Communication User Role (API)
Lab Activity - 23. Features of Test Your Processes
Lab Activity - 24. Executing a Test Plan containing API Test Process Steps
Lab Activity - 25. Features of Analyze Automated Test Result
Lab Activity - 26. Triggering Post-Upgrade Tests by Customers
Lab Activity - Part C - S4CP01 - Outlining the Financial Accounting Overview in SAP S/4HANA
Lab Activity - 1. Create a Supplier Master Record
Lab Activity - 2. Create Supplier Invoice
Lab Activity - 3. Analyze Open Items in Payables Management
Lab Activity - 4. Aging Analysis
Lab Activity - 5. Overdue Payables
Lab Activity - 6. Create Customer Master Record
Lab Activity - 7. Create Customer Invoice
Lab Activity - 8. Analyze Open Items in Receivables Management
Lab Activity - 9. Overdue Receivables
Lab Activity - 10. Create an Asset Master Record
Lab Activity - 11. Post an Integrated Asset Acquisition and Analyze the Asset
Lab Activity - 12. Analyze the Asset in the Asset Balance Report
Lab Activity - 13. Analyze the Asset in the Balance Sheet
Lab Activity - 14. Analyze the Planned Depreciation
Lab Activity - 15. Analyze the Asset in the Asset History Sheet
Lab Activity - Part D - F1120 – Outlining the Record to Report Process in SAP S/4HANA
Lab Activity - 1. Browse from Balance Sheet to Document
Lab Activity - 2. Retrieve a Posted FI Document in Different Ways
Lab Activity - 3. Post General Ledger Entries
Lab Activity - 4. Upload a GL Document
Lab Activity - 5. Modify a Journal Entry in General Ledger Accounting
Lab Activity - 6. Reverse a Journal Entry and check the Account Balances
Lab Activity - 7. Enter and Hold a Journal Entry
Lab Activity - 8. Perform the Manual Clearing of an Open Item
Lab Activity - 9. Generate Financial Statements Reports
Lab Activity - 10. Verifying General Journal Entries for Ledger Group
Lab Activity - 11. Displaying Line Items in General Ledger
Lab Activity - 12. Manage Posting Periods
Lab Activity - 13. Manage Special Periods
Lab Activity - 14. Post General Journal Entry into a Special Period
Lab Activity - 15. Create a Journal Entry with Auto-Reverse
Lab Activity - 16. Create a Recurring Charge
Lab Activity - 17. Execute Automatic Clearing
Lab Activity - 18. Post to a Ledger Group
Lab Activity - 19. Manage and Use Financial Statement Versions
Lab Activity - Part E - F1130 - Describing the Payables Management Process in SAP S/4HANA
Lab Activity - 1. Create a Supplier
Lab Activity - 2. Create a Supplier List
Lab Activity - 3. Create a Supplier Fact Sheet
Lab Activity - 4. Manage Supplier Bank Data
Lab Activity - 5. Configure Supplier Company Code Settings
Lab Activity - 6. Assign Supplier to additional Company Code and Track Changes
Lab Activity - 7. Create a Supplier Invoice
Lab Activity - 8. Create Incoming Invoice
Lab Activity - 9. Create Supplier Credit Memo (without reference)
Lab Activity - 10. Create Incoming Supplier Credit Memo
Lab Activity - 11. Hold Supplier Invoice
Lab Activity - 12. Manage Supplier Line Items
Lab Activity - 13. Clear Supplier Account
Lab Activity - 14. Create Recurring Entries
Lab Activity - 15. Changes in Payables Postings – Single and Mass
Lab Activity - 16. Create Purchase Order and Post Goods Receipt
Lab Activity - 17. Create a Supplier Invoice with Purchase Order
Lab Activity - 18. Accounts Payable Overview
Lab Activity - 19. Create Documents for Automatic Payments
Lab Activity - 20. Run the Payment Proposal
Lab Activity - 21. Create an Invoice and a Single Payment
Lab Activity - 22. Reconcile the GRIR Clearing Account
Lab Activity - 23. Create a Supplier Balance Confirmation
Lab Activity - 24. Run a Foreign Currency Valuation
Lab Activity - 25. Accounts Payable by Remaining Term Regrouping
Lab Activity - 26. Reclassify Accounts Payable with Debit Balance
Lab Activity - 27. Regroup Payables due to Reconciliation Account Change
Lab Activity - Part F - F1140 - Describing the Receivables Management Process in SAP S/4HANA
Lab Activity - 1. Create Customer Master Data
Lab Activity - 2. Create a Customer List
Lab Activity - 3. Display the Customer Object Page
Lab Activity - 4. Update Business Partner Bank Account Information
Lab Activity - 5. Update Company Code Information for a Customer
Lab Activity - 6. Extend Customer to an Additional Company Code
Lab Activity - 7. Copy a Business Partner
Lab Activity - 8. Copy a Customer Master Record
Lab Activity - 9. Create a Duplicate Business Partner
Lab Activity - 10. Add an Additional Role to a Business Partner
Lab Activity - 11. Display Changes to Customer Master Records
Lab Activity - 12. Prepare your User and Fiori Launchpad
Lab Activity - 13. Enter Customer Invoices and Credit Memos
Lab Activity - 14. Maintain Editing Options
Lab Activity - 15. Manage Customer Line Items
Lab Activity - 16. Manage Document Changes and Reversals
Lab Activity - 17. Execute Manual Clearing
Lab Activity - 18. Reset Cleared Items
Lab Activity - 19. Execute Automatic Clearing
Lab Activity - 20. Single Document Changes
Lab Activity - 21. Sales Order Integration to Receivables
Lab Activity - 22. Outline Receivables Key Performance Indicators fo
Lab Activity - 23. Overdue Receivables
Lab Activity - 24. Prepare your User and Fiori Launchpad
Lab Activity - 25. Process a Manual Incoming Payment with a Difference
Lab Activity - 26. Create an Outgoing Customer Invoice
Lab Activity - 27. Process Incoming Payment Files
Lab Activity - 28. Reprocess Bank Statements
Lab Activity - 29. Prepare Your User and SAP Fiori Launchpad
Lab Activity - 30. Create a Customer Master Record
Lab Activity - 31. Create a Customer Account Statement
Lab Activity - 32. Clear Customer Open Items Manually
Lab Activity - 33. Define the Accounting Clerk
Lab Activity - 34. Modify a Customer Master Record
Lab Activity - 35. Modify Customer Invoices for the Dunning Program
Lab Activity - 36. Schedule a Dunning Run
Lab Activity - 37. Edit a Dunning Proposal List
Lab Activity - 38. Print a Dunning Notice
Lab Activity - 39. Create a Customer Balance Confirmation(1)
Lab Activity - 40. Create a Customer Balance Confirmation
Lab Activity - 41. Run a Foreign Currency Valuation
Lab Activity - 42. Enter an Individual Value Adjustment
Lab Activity - 43. Execute a Valuation Run
Lab Activity - 44. Regroup Accounts Receivable by Remaining Term
Lab Activity - 45. Reclassify Accounts Receivable with Credit Balance
Lab Activity - Part G - F1111 - Outlining Processes in Payables Management
Lab Activity - 1. Prepare Your User and Fiori Launchpad
Lab Activity - 2. Create a Supplier Master Record
Lab Activity - 3. Create Supplier Invoice-1
Lab Activity - 4. Create Supplier Invoice-2
Lab Activity - 5. Analyze Open Items in Payables Management
Lab Activity - 6. Overdue Payables
Lab Activity - 7. Aging Analysis
Lab Activity - Part H - F1112 - Outlining Processes in Receivables Management
Lab Activity - 1. Prepare Your User and Fiori Launchpad
Lab Activity - 2. Create Customer Master Record
Lab Activity - 3. Create Customer Invoice
Lab Activity - 4. Analyze Open Items in Receivables Management
Lab Activity - 5. View Overdue Receivables
Lab Activity - Part I - F1114 - Outlining Processes in Asset Accounting
Lab Activity - 2. Create Asset Master Record in the APP Manage Fixed Assets
Lab Activity - 1. Prepare Your User and Fiori Launchpad
Lab Activity - 3. Post an Integrated Asset Acquisition and Analyze the Asset Value
Lab Activity - 4. Analyze Open Items in Receivables Management
Lab Activity - 5. Analyze the Asset in the Asset Balance Report
Lab Activity - 6. Analyze the Asset in the Balance Sheet
Lab Activity - 7. View the Planned Depreciation
Lab Activity - 8. Post Asset Retirement by Scrapping and Analyze Result
Lab Activity - Part J - S4F41 - Customizing in Cash Management in SAPÂ S/4HANA
Lab Activity - 1. Create New Bank Master Data
Lab Activity - 2. Define Bank Master Data as House Bank
Lab Activity - 3. Create Bank Account Master Data
Lab Activity - 4. Maintain House Bank Account Connectivity
Lab Activity - 5. Create Bank Account Hierarchy
Lab Activity - 6. Create Liquidity Items and Assign them to GL Accounts
Lab Activity - 7. Maintain Liquidity Item Hierarchy
Lab Activity - 8. SWIFT Customizing
Lab Activity - 9. CAMT Customizing
Lab Activity - 10. Maintain Cash Pooling Settings
Lab Activity - 11. Create a Cash Position Profile
Lab Activity - 12. Create an Outgoing Customer Invoice
Lab Activity - 13. Manage Incoming Payment Files
Lab Activity - 14. Manage Bank Statements
Lab Activity - 15. Manage Cash Pools
Lab Activity - 16. Perform Cash Concentration
Lab Activity - 17. Short-Term Cash Position
Lab Activity - 18. Make a Bank Transfer
Lab Activity - 19. Activate Source Applications
Lab Activity - Part K - F115 - Performing Asset Accounting Processes in SAP S/4HANA
Lab Activity - 1. Prepare Your User and Fiori Launchpad
Lab Activity - 2. Create the Main Asset Master Data
Lab Activity - 3. Create Five Computers
Lab Activity - 4. Create an Asset Master Record as Sub-Number
Lab Activity - 5. Change Asset Master Data
Lab Activity - 6. Post an Integrated Asset Acquisition and Analyze the Value
Lab Activity - 7. Post an Acquisition and Analyze
Lab Activity - 8. Post Asset Balances Against Expense and Analyze
Lab Activity - 9. Post Credit Memo and Analyze
Lab Activity - 10. Create Asset Master Data with Quantity, Post, and Analyze
Lab Activity - 11. Post Retirement by Scrapping
Lab Activity - 12. Post Retirement With Revenue
Lab Activity - 13. Analyze the Assets in the Asset Balances Report
Lab Activity - 14. Analyze the Asset in the Asset Transaction
Lab Activity - 15. Post Reversal of the Retirement by Scrapping and Analyze
Lab Activity - 16. Transfer Within Company Code and Analyze
Lab Activity - 17. Make a Time-Dependent Change in Balance-Sheet-Relevant Fields
Lab Activity - 18. Create and Release an Investment Project with WBS Element
Lab Activity - 19. Settle the WBS Element Welding Cell to the Assigned Asset Under Construction
Lab Activity - 20. Maintain the Settlement Rule
Lab Activity - 21. Perform Full Settlement and Analyze the Result
Lab Activity - 22. Change the Useful Life for an Activated Asset
Lab Activity - 23. Execute a Depreciation Test Run and Analyze the Log
Additional Materials - Shared by Instructor
Lab Activity - Setting up the System
Cash Flow Reporting
Cash Flow Statement (New)
Cash Flow Statements - Direct Method
Cash Flow Statements - Indirect Method
Cash Reconciliation Process
Configuring Group Reporting
Cost Center Accounting
Customer Data
Customer Payments in Receivables Management
Data Migration
Defining Customer Groups_Numberranges
Describing the Core Concepts of Integrated Group Reporting
Discovering Customer Master Data Maintenance Methods
Dunning
Executing Accounts Receivable Period Activities
Explaining Profit Center
Exploring Tax Configuration Capabilities
F9212 - Explaining Corporate Close with SAP S4HANA Cloud for Group Reporting
FI - SD Integration
FI-MM Integration
Flexible Workflow Setup for Finance in SAP S4HANA
Group Reporting
Illustrating Open Receivables Management
Key Items in Dunning
Managing APIs
Managing Customer Data
Managing Depreciation
ODN + Tax Configuration
Posting a GL Account Document
Processing Automatic Payments
Understanding Intercompany Billing for Cross-Company Cost Accounting Postings
Using Accounts Receivable Closing Activities
Work with Activity Types
Working with Asset Accounting
Working with Business Partners and Invoices
Working with Internal Orders
Lab Activity - Assigning Company Code to Chart of Accounts
Lab Activity - Autoclearing
Lab Activity - Bank Account Management in SAP
Lab Activity - Bank Reconciliation Process in S4H Cloud in Detail
Lab Activity - Business Place Configuration Steps
Lab Activity - Configuring a new order reason within SAP
Lab Activity - Configuring Cashflow Statements
Lab Activity - Configuring Dunning
Lab Activity - Configuring ODN
Lab Activity - Configuring Order Reason
Lab Activity - conmfig_Custmaster_data
Lab Activity - Create Chart of Account
Lab Activity - Creation of Business Place and Assigning Multiple Plants
Lab Activity - Set up a New Chart of Accounts and Create GL Account Master Data
Error Logs
Overview Materials
Glossary of SAP Finance Key Concepts
Glossary of SAP S4HANA Finance Terms
Glossary of Terms - SAP Basics
Glossary of SAP Finance Data Migration Terms
Glossary of SAP Finance Master Data Terms
Glossary of SAP Finance Taxation Terms
Glossary of SAP S4HANA Finance for Group Reporting and Consolidation
Glossary of SAP S4HANA Product Costing
Glossary of SAP S4HANA Treasury
Glossary of Terms - SAP Updated List
Certification MCQ's
C_S4CFI_2105 - SAP S4HANA Cloud - Finance Implementation Certification
C_S4CFI_2108 - SAP Certified Application Associate - SAP S4HANA Cloud (public) - Finance Implementation
C_S4CFI_2308 - SAP Certified Application Associate - SAP S4HANA Cloud - Finance Implementation
C_S4CFI_2408 - Implementation Consultant - SAP S4HANA Cloud Public Edition, Financial Accounting.
C_TS4FI_2023 - SAP S4HANA Cloud Financial Accounting
Capstone Projects / Case Studies
Capstone Project - 1. Global Financial Close Automation
Capstone Project - 2. Profitability Analysis Overhaul
Capstone Project - 3. Financial Risk Governance
Capstone Project - 4. Financial Business Insights and AI-Assisted Reporting
Capstone Project - 5. Intercompany Professional Service Projects Financial Management
Interview Questions
Interview Questions - Set 1
Interview Questions - Set 2
Interview Questions - Set 3
Interview Questions - Set 4
Interview Questions - Set 5
Sample Resumes
Sample Resume - Fresher SAP S4HANA Cloud Public Edition Finance Consultant
Sample Resume - Experienced SAP S4HANA Cloud Public Edition Finance Consultant (3-5 Years Experience)
Sample Resume - Senior SAP S4HANA Cloud Public Edition Finance Consultant (10+ Years Experience)
Prepare your Linkedin profile
Linkedin Cheat Sheet
Prepare your Resume
Resume Cheat Sheet
Final Quiz
Test Your Knowledge
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Session Video - Processing Supplier Invoices and Recurring Entries
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