SAP S/4HANA Finance for Group Reporting and Consolidation

Price: Enquire Now
Code: S4F95
Duration: 5 days
Location: Virtual Classroom (AEST)


You will learn the components, architecture, and features for the SAP S/4HANA Finance for group reporting.
Participants will learn how to configure consolidation from the ground up in an end-to-end scenario. Consolidation ledgers, FS Items, and organization elements for example will be discussed.
You will use SAP Fiori apps to carry out all month-end closing tasks including purchase method, equity method, and matrix eliminations.
Participants will learn to configure and use the data and consolidation monitors to execute and control the closing process.

This course is based on the following software releases

  • SAP S/4HANA Edition 1909
  • SAP Analysis for Microsoft Office 2.8


  • Learn how to design, configure, consolidate, and report with SAP S/4HANA Finance for group reporting.
  • Model and maintain master data such as financial statement(FS) items, consolidation groups and units. You will work with flexible hierarchies that can then be used in reports. You will work with FS subitems and breakdown categories. You will learn how to upload master data.
  • Learn how to maintain the ownership investment structure data.
  • Learn how to set up and use SAP Intercompany Reconciliation and Matching for consolidation unit matching.
  • Learn how version and time-dependent modeling features can be used to meet reporting requirements.
  • Learn how to perform matrix eliminations.
  • Use SAP Fiori and the SAP Analysis for Microsoft Office Excel add-in as the primary reporting user interfaces as well as how to create rule- based SAP Fiori reports.
Audience Profile
  • Project Team Members
  • Business Analysts
  • System Administrators
  • Application Consultants
  • Business Process Owners / Team Leads / Power Users
  • Program / Project Managers
  • Trainers



  • Experience in accounting and consolidation business processes.
  • Describing Business Consolidation with SAP S/4HANA Finance for grou reporting
  • Running Consolidation Tasks
  • Describing the Structures and Architecture
  • Managing Subsidiary and Account Master data as well as Mappings
  • Managing Ledgers, COAs, Versions, Subitems, and Breakdown Categorie
  • Modeling Hierarchies and Additional Master Data
  • Collecting Data
  • Balance Carryfoward
  • Configuring Data Validation
  • Describing Document Types, Posting Levels, and Selected Items
  • Booking Journal Entries
  • Reclassifying Data
  • Designing a Currency Translation Solution
  • Using Intercompany Reconciliation and Matching
  • Implementing Intercompany Eliminations with Matrix
  • Setting up Consolidation of Investments for the Purchase and Equity methods
  • Describing Subsequent Consolidation and Divestitures
  • Build and use report rules for cash flow and comprehensive income reports for example
  • Use 1909 report logic
  • Run balance carryforward and report on the results


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