Solution: SAP ERP
Delivery Methods: Certification
Duration: 180
Level: Associate
Sub-solution: Financial Supply Chain Management
Component: ERP: Procurement & Logistics Execution
Exam: - 80 questions, PDF Link, Cut Score 60
Product Group: SAP Business Suite
Languages: German, English, Spanish, French, Japanese, Portuguese, Russian, Chinese
Cost Center Accounting > 12%
Internal Orders > 12%
Product Cost Planning > 12%
Profitability Analysis > 12%
Cost Object Controlling > 12%
Reporting 8% - 12%
Organizational Assignments and Process Integration 8% - 12%
Profit Center Accounting 8% - 12%
Basics of SAP ERP and SAP Solution Manager < 8%
The "SAP Certified Application Associate - Management Accounting (CO) with SAP ERP 6.0 EhP6" certification exam verifies that the candidate possesses fundamental knowledge and proven skills in the area of SAP ERP Management Accounting. The exam validates that the candidate has a good overall understanding within this consultant profile, and can implement this knowledge practically in projects under guidance of an experienced consultant. This certificate is the ideal -although not mandatory - prerequisite for the qualification to SAP Certified Professional in Management Accounting. It is recommended as an entry-level qualification to allow consultants to get acquainted within Management Accounting projects.
As a subscriber to SAP Learning Hub you have not only access to all relevant training materials but also can benefit from so-called Learning Rooms for your exam preparation. A Learning Room is a virtual learning space that guides you through all the training related to this certification and also offers supplementary materials. Learning Rooms are led by SAP’s top instructors who help students with their learning and provide answers to their questions.
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Exam Code:
C-TFIN22-66Exam Name: SAP Certified Application Associate - Management Accounting (CO) with SAP ERP 6.0 EHP6
One year free update, No help, Full refund!
C-TFIN22-66 Free download Total Q&A: 100 Questions and Answers
Last Update: 03-29,2015
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NO.1 A customer uses assessment cycles in cost center accounting. How can the
customer see the
results on the profit centers in New GL?
A. By activating
plan integration for profit centers.
B. By activating the real-time
reconciliation between CO and FI.
C. By activating document split for cost
centers in New GL.
D. By defining and execute the equivalent cycles in the
New GL.
Answer: B
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NO.2 A company
wants to use Profitability Analysis (CO-PA) to obtain an early analysis of
their
anticipated profits.
Which functionality provides the best
results?
A. Transfer the plan balance data from Fl to account-based CO-PA and
use record type "F" for
analysis.
B. Analyze sales quotation as a detail
value.
C. Transfer the plan data from the "Sales and operation planning" to
costing-based CO-PA and use
record type "P" for analysis.
D. Transfer
sales orders and quotations from SD to costing-based CO-PA and use record type
"A" for
analysis.
E. Transfer sales orders and quotations from SD to
account-based CO-PA and use record type "F" for
analysis.
Answer:
D
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NO.3 Which planning
transactions create secondary costs on the receivers?
(Choose two)
A. Plan
assessment
B. Transfer of depreciations from Asset Accounting
C. Transfer
of personnel cost from HR
D. Plan distribution
E. Activity input
planning
Answer: A,E
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NO.4 What
is the advantage of using a key figure scheme in drilldown reports in
profitability analysis?
A. The key figure scheme allows the calculating of
lines with subtotals in a drill down report.
B. A key figure scheme allows
for simultaneous access to different databases.
C. The key figure scheme
allows quick access to predefined key figures in the database.
D. A key
figure scheme improves the runtime of the drilldown report.
Answer:
A
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NO.5 A company in
a high-inflation country wants to valuate their finished products with actual
costs
reflecting all the latest price variances. Which method do you
recommend?
A. Use actual price determination in the material ledger
B. Use
lowest-value determination of raw materials.
C. Activate FIFO valuation in
the special ledger
D. Valuate all materials with LIFO valuation.
Answer:
A
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NO.6 Your New GL customer uses
real-time reconciliation of CO and FI. The customer wants to show
the value
flow of activity allocations between cost centers assigned to different profit
centers. What
does the customer have to configure?(Choose two)
A. Execute
the periodic transfer to profit center accounting.
B. Define a G/L
reconciliation account for direct activity allocation.
C. Select profit
center as a characteristic for real time reconciliation between CO and FI.
D.
Carry out a reconciliation run for activities types in the new GL.
Answer:
B,C
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NO.7 Which SAP Solution
Manger Service Desk interfaces are available?(Choose three)
A. SAP Solution
Manager Trace Analysis
B. SAP global support backbone
C. Managed SAP
systems
D. SAP NetWeaver Administration (NWA)
E. Third-party service desk
tool
Answer: B,C,E
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NO.8 Your
customer wants to see a P&L statement for profit centers by the
cost-of-salesaccounting
approach. Which of the following is the minimum
requirement?
A. Activate profitability analysis.
B. Create a derivation
rule for the functional area.
C. Activate the scenario functional area in New
GL.
D. Enter the functional area in the profit center master.
Answer:
C
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