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Handling Accounting in SAP Business One | ZH
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银行业务流程
会计基础知识
了解财务基础知识
10 min
了解 SAP Business One 中的自动日记账分录
10 min
Quiz
财务设置
浏览科目表
30 min
使用货币
10 min
运行财务设置流程
20 min
Quiz
财务流程
过账手动日记账分录
20 min
使用过账模板和经常性过账
10 min
使用日记账凭单
10 min
使用过账期间流程
10 min
管理内部对账
10 min
运行财务流程场景
20 min
Quiz
银行业务流程
处理付款
20 min
了解银行账户对账选项
10 min
运行付款流程场景
10 min
Quiz
成本控制报表
在 SAP Business One 中运行财务报表
20 min
生成现金流、账龄和催款信报表
30 min
运行成本控制报表场景
20 min
Quiz
固定资产
了解固定资产流程
30 min
在 SAP Business One 中运行固定资产流程
10 min
Quiz
成本会计
管理 SAP Business One 中的成本会计
20 min
在 SAP Business One 中运行成本会计流程
10 min
Quiz
会计基础知识
了解财务基础知识
10 min
了解 SAP Business One 中的自动日记账分录
10 min
Quiz
财务设置
浏览科目表
30 min
使用货币
10 min
运行财务设置流程
20 min
Quiz
财务流程
过账手动日记账分录
20 min
使用过账模板和经常性过账
10 min
使用日记账凭单
10 min
使用过账期间流程
10 min
管理内部对账
10 min
运行财务流程场景
20 min
Quiz
银行业务流程
处理付款
20 min
了解银行账户对账选项
10 min
运行付款流程场景
10 min
Quiz
成本控制报表
在 SAP Business One 中运行财务报表
20 min
生成现金流、账龄和催款信报表
30 min
运行成本控制报表场景
20 min
Quiz
固定资产
了解固定资产流程
30 min
在 SAP Business One 中运行固定资产流程
10 min
Quiz
成本会计
管理 SAP Business One 中的成本会计
20 min
在 SAP Business One 中运行成本会计流程
10 min
Quiz
Knowledge quiz
It's time to put what you've learned to the test, get 8 right to pass this unit.
1.
Defining a payment method for a business partner is a pre-requisite for running the Payment Wizard.
Choose the correct answer.
True
False
2.
The main purpose of bank reconciliation is to ensure all transactions performed in the bank are recorded in the accounting ledger.
Choose the correct answer.
True
False
3.
What is the result of all types of bank reconciliation?
Choose the correct answer.
The debit side of the bank account is reconciled with the credit side of the account.
The payment is reconciled with the invoice.
The bank statement row is reconciled with the bank record in the accounting ledger.
4.
Which tool would you use to create outgoing and incoming payments in a batch?
Choose the correct answer.
Document Generation Wizard
Document Drafts Report
Payment Wizard
Automatic Reconciliation
5.
The journal entry for an outgoing payment typically involves a vendor and a bank account.
Choose the correct answer.
True
False
6.
What are 3 possible outcomes of the payment wizard run?
There are three correct answers.
Bank file
Deposits
Outgoing Payments
Incoming Payments
Agile Report
7.
In the incoming payment, you see an asterisk in one of the invoice rows. What does the asterisk indicate?
Choose the correct answer.
A high priority invoice
Missing payment data
The invoice is due
8.
A bank reconciliation is performed before receiving the bank statement.
Choose the correct answer.
True
False
9.
While reviewing the bank statement, you notice that a certain bank transfer amount is slightly different than the amount recorded in the ledger, due to rounding. How can you reconcile this record externally?
Choose the correct answer.
Post a balancing transaction
Mark the transaction as reconciled
Create a semi-automatic reconciliation
10.
Which 2 payment means will typically involve a clearing (suspense) account in the incoming payment transaction?
There are two correct answers.
bank transfer
credit card
Checks