SOAL SOAL ERP Financial Gabungan PDF

Title SOAL SOAL ERP Financial Gabungan
Author Tiara Ayu Pratama
Course akuntansi keuangan lanjutan 2
Institution Universitas Widyatama
Pages 30
File Size 556.1 KB
File Type PDF
Total Downloads 4
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SOAL SAP FINANCE AC010 SESSION 1 20161. When receiving payment from customer, the amount owned and the amount entered must be equal. a. True b. False2. The following statements are true regarding performing transactions in Account Payable... a. It is possible to post costs and revenues in Controllin...


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SOAL SAP FINANCE AC010 SESSION 1 2016 1. When receiving payment from customer, the amount owned and the amount entered must be equal. a. True b. False 2. The following statements are true regarding performing transactions in Account Payable… a. It is possible to post costs and revenues in Controlling module as statistical or real postings. b. Internal order is defined as real posting only c. It is NOT possible to perform automatic payment in SAP system d. Cost center can be a statistical or real posting 3. The following statements are true regarding Asset Class, except… a. Asset class defines the screen layout of asset master record b. Every asset master must be assigned to asset class c. Asset class can only be created for tangible assets d. Asset class controls default values for depreciation 4. Invoice can be entered in Sales and Distribution module and Financial Accounting Module a. True b. False 5. The following steps must be carried out to perform automatic payment, except… a. Perform proposal run b. Maintain parameter c. Checking and editing payment proposal d. Perform payment run e. Checking vendor's status 6. A bank must be maintained in Bank Directory table in order to be used in transactions. a. True b. False 7. When posting expense item, a cost center or internal order must be entered in order generate document in Management accounting as well as Financial accounting. a. True b. False c. 8. Accrual method is used when expense or revenue was posted in current period, but the actual business transaction is actually inccured in a future period

a. True b. False 9. It is possible to create various financial statement versions in SAP system. a. True b. False 10. Customer account group is used to, except… a. Group similar type of customer b. Determine internal or external number range for customer c. Determine customer credit area d. Determine screen layout of customer master data 11. Customer Accounts are made up of the following level, except… a. General Data b. Company Code data c. Business Area data d. Sales Area data 12. Depreciation can only be posted after depreciation posting run has been completed. a. True b. false 13. Foreign currency valuation needs to be carried out only if vendors accounts contains open items in a foreign currency. a. True b. False 14. Subsidiary ledgers that are connected to the general ledger via reconciliation accounts are, except…. a. Account Receivable b. Account payable c. Profit center d. Asset ledger 15. The following information can be found in every GL account, except… a. Account name b. G/L account type c. Account condition d. Account number

16. When Company Code specific settings is maintained for Company Code 1000, it also valid for Company Code 1100. a. True b. False 17. Reconciliation accounts is used to connect subsidiary ledgers with the general ledger in real time. a. True b. False 18. The following activities are part of Procurement cycle, except… a. Goods receipt b. Demand determination c. Supplier selection d. Good issue e. Invoice verification 19. In SAP system, asset are assigned to… a. Client b. Company code c. Controlling area d. Functional area 20. When customer payment is posted using cash journal, the payment automatically clear the open item related to the customer. a. True b. False 21. House bank is… a. Bank where our company has an account b. Bank where our customer has an account c. Bank where our vendor has an account d. All of the above e. None of the above 22. Example of Distribution channel are the followings, except… a. Service b. Store chains c. Spare parts d. Internet sales 23. Bank directory must be manually created in the SAP system

a. True b. False 24. When creating vendor master, it is possible for the system to generate vendor number automatically a. True b. False 25. On every transactions that generate accounting document, the Company Code information must be present. a. True b. False 26. Vendor Accounts are made up of the following level, except… a. General Data b. Company Code data c. Business Area data d. Purchasing data 27. In order to maintain more than one valuation basis, the SAP system uses depreciation areas. a. True b. False 28. A three-way match matches the following documents, except…. a. Purchase requisition b. Good receipt c. Invoice verification d. Purchase order 29. The following statements are true regarding organizational structure in Financial Accounting module, except… a. General ledger is assigned to the Company Code level and is used for creating balance sheet and profit-and-lost statements. b. Company Code has a complete self-contained set of accounts. c. Business Area is used to represent business segments or branches. d. More than one Company Codes can be assigned to one controlling area. 30. The following statements are true regarding chart of accounts, except… a. A chart of accounts can be used only for one company code b. Only one operating chart of accounts is assigned to company code c. It is possible to assign unlimited number chart of accounts in SAP system d. Chart of accounts contains definition of all G/L accounts in a specific ordered form

31. The following statements are true regarding dunning in SAP system, except… a. Dunning procedure must be entered in every customer account if automatic dunning is desired b. Automatic dunning must be carried out for all number of accounts c. It is possible to change dunning proposal d. Dunning is used to analyze all open items which are over due for payment

32. The following statements are true regarding Financial Closing, except… a. Adjustment postings for business area must be made if business area financial statements need to be created b. The balance carry forward program is run at the end of a fiscal year c. Posting periods of the previous fiscal year must be blocked d. Special periods for closing entries must be opened 33. Foreign currency valuation needs to be carried out only if vendors accounts contains open items in a foreign currency. a. True b. False 34. Cash journal transaction screen consist of the following, except… a. Data selection b. Header c. Balance display for period d. Receipts and payments transactions 35. When creating vendor master, it is possible for the system to generate vendor number automatically. a. True b. False 36. It is possible to use valuation methods for the following, except… a. Replacement value b. Controlling c. Financial statements based on regional requirements d. Financial statements for tax purposes e. None of the above 37. Accounts Receivable Information System can be used to generate the following reports, except… a. Overdue items b. Cash discount history

c. Customer payment history d. Average number of days customer to pay an invoice e. None of the above

38. The followings are areas in Closing Cockpit transaction, except… a. Tasks b. Item Detail c. Organization Structure d. Detail Information e. Dependencies f. None of the above 39. The following activities are part of Sales and Distribution cycle, except… a. Picking b. Demand determination c. Outbound Delivery d. Good issue e. Billing 40. G/L account groups can be used to, except... a. Adjust screen layout or appearance on GL account b. Determine format of G/L account number ranges c. Group similar accounts that have similar business functions d. Determine which fields are required and optional for data entry in G/L account e. None of the Above

Foreign currency valuation needs to be carried out only if vendors accounts contains open items in a foreign currency. TRUE The following statements are true regarding closing operations in Account Payable, except… 1. Posting periods of previous fiscal year are blocked and special periods for closing postings for fiscal year-end adjustment are opened.

2. At the beginning of the fiscal year, the balance carry forward program is run.

3. Balances with selected vendors are confirmed, the foreign currency documents are valuated, and the account payable are regrouped according to remaining life.

4. None of the above

1. The following process takes place right after good receipt is completed…(page 144) o Purchase order o Purchase requisition o Invoice verification() o Payment processing o Incoming payment 2. SAP is one of Enterprise Resources Planning (ERP) o True() o False 3. During invoice verification process, user can use the following document as a reference o Purchase requisition o Purchase order() o Inquiry o Material document o Accounting document 4. ERP stands for… o Entity Relations Partnership o Employee Resources Planning o Enterprise Resources Planning() o Enterprise Relations Partnership 5. Invoice verification is the final step in the procurement cycle…. (page 144) o True o False() 6. SAP stands for ... o System, Application and Procedure o System, Application and Program o System, Application Procurement o System, Application and Product() 7. Reconciliation accounts is used to connect subsidiary ledgers with the general ledger in real time (page 46) a. TRUE() b. FALSE 8. On every transaction the generate accounting document , the company code must be present. a. TRUE () b. FALSE 9. Accounts Receivable Information System can be used to generate the following reports : (fig 71 page 207) a. Overdue items() b. Cash discount history() c. Customer payment history() d. Average number of days customer to pay an invoice()

10. When company code specific settings is maintained for company code 1000, it also valid for company code 1100 a. TRUE b. FALSE 11. The following statements are true regarding closing operations in Account Payable (page 158) a. Posting periods of previous fiscal year are blocked and special periods for closing postings for fiscal year-end adjustment are opened() b. At the beginning of the new fiscal year, the balance carry forward program is run() c. Balanced with selected vendors are confirmed, the foreign currency documents are valuated, and the account payable are regrouped accounting to remaining life() 12. A three-way-match matches the following documents : (page 145) a. Purchase requisition b. Good issue c. Good receipt() d. Invoice verification() e. Purchase order() 13. The following steps must be carried out to perform automatic payment, except ;(page 113) a. Perform proposal run b. Maintain parameter c. Checking and editing payment proposal d. Perform payment run e. Checking vendor”s status() 14. To determine which posting is debit or a credit, the following is used (page 69) a. Account group b. Account key c. Posting key() d. Document types e. Reconciliation accounts 15. Subsidiary ledgers that are connected to the general ledger via reconciliation accounts are (page 46) a. Account receivable() b. Account payable() c. Profit centrre d. Cost ccentre e. Asset ledger() 16. The following activities are part of procurement cycle (page 144) a. Purchase requisition() b. Good issue c. Good receipt()

d. Invoice verification() 17. The following information can be found in every GL account (page 42) a. Account number() b. G/L account type() c. Account condition d. Account name() 18. G/L Account posting screen is devided into the following areas (page 65) a. Information area() b. Status area c. Header data() d. Line item information() e. Work template() 19. When receiving payment from customer, the amount owned and the amount entered must be equal. ( T / F ) 20. The following step must be carried out to perform automatic payment, except (fig 46, pg 125) a. Perform proposal run b. Maintain parameter c. Checking and editing payment proposal d. Perform payment run e. Checking vendor’s status() 21. It is possible to use valuation methods for the following, except (pg 310) a. Replacement value b. Controlling c. Financials statement based on regional requirement d. Financial statements for tax purpose e. None of the above 22. Example of distribution channel are the followings, except a. Service b. Stone chains c. Spareparts()() d. Internet sales 23. Bank directory must be manually created in the SAP system. ( T / F())(pg 364, hrsnya automatically dan manually) 24. Invoice can be entered in sales and distribution module and financial accounting module. ( T() / F ) 25. When creating vendor master, it is possible for system to generate vendor number automatically. (T/F )

26. Accrual method is used when expense or revenue was posted in current period, but the actual business transactions is actually incurred in a future period. ( T / F ) krn ini deferrals (pg 421) 27. The following statements are true regarding financial closing, except a. Adjustment postings for business area must be made if area financial are created b. The balance carry forward program is run at the end of a fiscal year() c. Posting periods of the previous fiscal year must be blocked d. Special periods for closing entries must be opened 28. Foreign currency valuation needs to be carried out only if vendors accounts contains open items in a foreign currency. ( T / F ) 29. In SAP system, asset are assigned to a. Client (pg 307, asset diassign ke CC dan BA) b. CC() c. Controlling area d. Functional area 30. The followings are areas in closing cockpit transaction, except (pg 420) a. Tasks b. Item detail() c. Organization structure d. Detail information e. Dependencies f. None of the above 31. When customer payment is posted using cash journal, the payment automatically clear the open item related to the customer. ( T / F ) (pg 379) 32. Depreciation can only be posted after depreciation posting run has been completed. ( T()/ F ) 33. G / L account groups can be used to, except a. Adjust screen layout or appearance on G / L account b. Determine format of G / L account number range c. Group similar accounts that have similar business functions d. Determine which fields are required and optional for data entry in G / L account e. None of the above() 34. The invoice and credit memo screen transaction consist of the following areas, except a. Template b. Header data c. Customer data d. G / L account data e. Customer status data () f. Information area 35. The following statements are true regarding Asset Class, except a. Asset class defines the screen layout of asset master record b. Every asset master must be assigned to asset class c. Asset class can only be created for tangible assets (pg 309) hrsnya intangible()

d. Asset class control default values for depreciation 36. The following statements are true regarding organizational structure in Financial Accounting module, except a. General ledger is assigned to the company code level and is used for creating balance sheet and profit and loss statement b. Company code has a complete self – contained set of account c. Business area is used to represent business segments or branches d. More than one company code can be assigned to one controlling area (pg 41) hrsnya ditambah or more controlling area) () 37. It is possible to create various financial statement versions in SAP system. ( T / F ) 38. A bank must be maintained in Bank Directory table in order to be used in transactions. ( T / F() ) 39. Vendor accounts are made up of the following level, except a. General data b. Company code data c. Business area data() d. Purchasing data 40. Customer account group is used to, except (pg 200) a. Group similar type of customer b. Determine internal or external or external number range for customer c. Determine customer credit area() d. Determine screen layout of customer master data 41. House bank is a. Bank where our company has an account() b. Bank where our customer has an account c. Bank where our vendor has an accout d. All of the above e. None of the above 42. In order to maintain more than one valuation basis, the SAP system uses depreciation areas. ( T / F ) pg 310 43. Cash journal transaction screen consist of the following, except (pg 376) a. Data selection b. Header () c. Balance display for period d. Receipts and payments transaction 44.The following statements are true regarding closing operations in Account Payable, except a. Posting periods of previous fiscal year are blocked and special periods for closing postings for fiscal year-end adjustment are opened. b. At the beginning of the fiscal year, the balanced carry forward program is run c. Balances with selected-vendors are confirmed, the foreign currency documents are valuated, and the account payable are regrouped accorading to remaining life

d. None of the above() 45.The following statements are true regarding dunning in SAP system, except a. Dunning procedure must be entered in every customer account if automatic dunning is desired b. Automatic dunning must be carried out for all number of accounts () c. It is possible to change dunning proposal d. Dunning is used to analyze all open items which are over due for payment

1. The invoice and credit memo screen transaction consist of the following areas, except… a. Templates b. Header data c. Customer data d. G/L account data e. Customer status data f. Information area 2. The following statements are true regarding closing operations in Account Payable, except… a. Posting periods of previous fiscal year are blocked and special periods for closing postings for fiscal year-end adjustment are opened. b. At the beginning of the fiscal year, the balance carry forward program is run. c. Balances with selected vendors are confirmed, the foreign currency documents are valuated, and the account payable are regrouped according to remaining life. d. None of the above 3. The following process takes place right after good receipt is completed a. Purchase order b. Purchase requisition c. Invoice verification d. Payment processing e. Incoming payment 4. SAP is one of Enterprise Resources Planning (ERP) a. True b. False 5. During invoice verification process, user can use the following document as a reference a. Purchase requisition b. Purchase order c. Inquiry d. Material document e. Accounting document 6. ERP stands for… a. Entity Relations Partnership b. Employee Resources Planning c. Enterprise Resources Planning d. Enterprise Relations Partnership 7. Invoice verification is the final step in the procurement cycle a. True b. False

8. SAP stands for ... a. System, Application and Procedure b. System, Application and Program c. System, Application Procurement d. System, Application and Product 9. Reconciliation accounts is used to connect subsidiary ledgers with the general ledger in real time a. TRUE b. FALSE 10. On every transaction the generate accounting document , the company code must be present. a. TRUE b. FALSE 11. The following steps must be carried out to perform automatic payment, except a. Perform proposal run b. Maintain parameter c. Checking and editing payment proposal d. Perform payment run e. Checking vendor”s status 12. To determine which posting is debit or a credit, the following is used a. Account group b. Account key c. Posting key d. Document types e. Reconciliation accounts 13. The following step must be carried out to perform automatic payment, except a. Perform proposal run b. Maintain parameter c. Checking and editing payment proposal d. Perform payment run e. Checking vendor’s status

14. The following statements are true regarding financial closing, except a. Adjustment postings for business area must be made if area financial are created b. The balance carry forward program is run at the end of a fiscal year c. Posting periods of the previous fiscal year must be blocked d. Special periods for closing entries must be opened

15. The followings are areas in closing cockpit transaction, except a. Tasks b. Item detail c. Organization structure d. Detail information e. Dependencies f.

None of the above

16. G / L account groups can be used to, except a. Adjust screen layout or appearance on G / L account b. Determine format of G / L account number range c. Group similar accounts that have similar business functions d. Determine which fields are required and optional for data entry in G / L account e. None of the above

17. The invoice and credit memo screen transaction consist of the following areas, except a. Template b. Header data c. Custom...


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