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SAP C_S4CFI_2208 Exam Syllabus Topics:

Topic 1
  • Best praPerform necessary tasks related to Treasury and Risk Management scope itemsctices and Content Lifecycle Management for RISE with SAP S
  • 4HANA Cloud (public)
  • Identify the implementation phases and scope and perform key Guided Configuration
Topic 2
  • Describe best practices for managing data migration between release lifecycles
  • Identify Key Solution configuration settings for integration
Topic 3
  • Describe the concepts of Business Process Testing and prepare
  • Perform necessary tasks related to Accounting and Financial Close Scope Items such as J58, 1GA , 1GI, Asset Accounting scope items
Topic 4
  • Explain tenants of SAP Cloud security, General Data Protection Regulation (GDPR) requirements
  • Perform core user management in RISE with SAP S
  • 4HANA Cloud
Topic 5
  • Describe the SAP Activate Implementation Methodology
  • Perform necessary tasks related to Financial Operations scope items
Topic 6
  • SAP Activate Methodology and Best Practices
  • Describe Expert Configuration
  • Cloud Security, GDPR, and Identity Access Management
Topic 7
  • Scope Item Level Implementation and Configuration for Cost Management
  • Scope Item Level Implementation and Configuration for Treasury Management
Topic 8
  • Perform necessary tasks related to Treasury and Risk Management scope items
  • Scope Item Level Implementation and Configuration for Financial Operations
Topic 9
  • Perform necessary tasks related to Cost Management & Profitability Analysis scope items
  • Scope Item Level Implementation and Configuration for Accounting and Financial Close

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SAP Certified Application Associate - SAP S/4HANA Cloud (public) - Finance Implementation Sample Questions (Q12-Q17):


Which data is entered in the asset migration file for each asset master record?

  • A. Cumulative acquisition values in group currency
  • B. Cumulative acquisition values in all currencies
  • C. Accumulated depreciation values in company code currency
  • D. Accumulated depreciation values in group currency

Answer: A


The credit profile is used to store which information in the customer master data? (Choose two.)

  • A. The customer credit group
  • B. The credit exposure
  • C. The scoring rules
  • D. The credit decisions

Answer: B,C


Which characteristic must be unique for each cash journal?

  • A. Currency
  • B. G/L account
  • C. Tax code
  • D. Business transaction

Answer: B


What does the journal entry type control?

  • A. Whether a posting posts a debit or credit value
  • B. The ledgers updated by the posting values
  • C. The transaction currency types allowed to be posted
  • D. The types of accounts allowed to be posted to

Answer: D


You are configuring cash operations.

To which object do you assign the cash management flow types?

  • A. Planning levels
  • B. Liquidity items
  • C. General ledger accounts
  • D. Bank account types

Answer: C



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