Table of Contents

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Preface
13
Objective of This Book
13
Target Audience
14
How to Read This Book
14
1 Introduction to Consolidation
17
1.1 Financial Consolidation Basics
17
1.1.1 Consolidation Steps
18
1.1.2 Consolidation Concepts
20
1.2 Why Consolidate Financials Data?
22
1.2.1 International Financial Reporting Standards
22
1.2.2 Generally Accepted Accounting Principles
23
1.3 Evolution of Consolidation with SAP Solutions
23
1.3.1 Financial Accounting: Legal Consolidation
24
1.3.2 Enterprise Controlling: Consolidation System
24
1.3.3 SAP Strategic Enterprise Management: Business Consolidation System
25
1.3.4 SAP Business Planning and Consolidation
26
1.3.5 Real-Time Consolidation in SAP S/4HANA
28
1.3.6 Group Reporting with SAP S/4HANA
29
1.4 Summary
30
2 Group Reporting Architecture and Components
31
2.1 SAP S/4HANA Finance
31
2.1.1 Architecture
32
2.1.2 SAP Fiori
34
2.2 Group Reporting
37
2.2.1 Technical Architecture
37
2.2.2 Finance Analytics
38
2.2.3 Predelivered Content
48
2.3 Summary
68
3 Master Data
69
3.1 Global Settings
69
3.2 Group Reporting Master Data
72
3.2.1 Consolidation Entities
72
3.2.2 Financial Statement Items
79
3.2.3 Financial Statement Item Attributes and Hierarchies
83
3.2.4 Breakdown Categories
92
3.2.5 Subitem Categories and Subitems
93
3.2.6 Consolidation Fields (Additional Fields)
100
3.2.7 Consolidation Versions
103
3.2.8 Document Types
107
3.3 Selections
118
3.4 Summary
120
4 Transaction Data
121
4.1 What Is the Data Monitor?
121
4.1.1 Layout
122
4.1.2 Task
123
4.2 Configuring the Data Monitor
124
4.3 Integrating Transaction Data
130
4.3.1 Universal Ledger
131
4.3.2 Flexible Upload
133
4.3.3 API Integration (Cloud Only)
138
4.4 Plan Data Integration
139
4.5 Balance Carryforward
140
4.5.1 Setting Up Balance Carryforward
140
4.5.2 Executing and Validating the Balance Carryforward
145
4.6 Calculation of Net Income
147
4.7 Data Validation
152
4.7.1 Validation Rules
152
4.7.2 Validation Methods
156
4.7.3 Import/Export Validation Settings
160
4.7.4 Reported Data Validation
161
4.7.5 Standardized Data Validation
163
4.8 Journal Entries
164
4.8.1 Group Journal Entries
164
4.8.2 General Journal Entries
167
4.8.3 Release Universal Journal Task
170
4.8.4 Validate Universal Journal Task
171
4.9 Summary
172
5 Currency Translation
175
5.1 What Is Currency Translation?
175
5.1.1 Currency Translation Basics
176
5.1.2 Currency Translation in SAP S/4HANA
179
5.2 Configuring Currency Translation
181
5.2.1 Exchange Rate Types
181
5.2.2 Exchange Rate Indicators
191
5.2.3 Currency Translation Methods
194
5.2.4 Consolidation Unit Method Assignment
201
5.2.5 Financial Statement Item Currency Translation Attribute
202
5.3 Translating Reported Currency
206
5.3.1 Execution in the Data Monitor
206
5.3.2 Validating the Execution
207
5.3.3 Reporting
207
5.4 Summary
213
6 Intercompany Elimination
215
6.1 What Is Intercompany Elimination?
216
6.1.1 Reporting and Financial Statements
216
6.1.2 Sales and COGS Elimination
219
6.1.3 Inventory Elimination
220
6.1.4 Expense Elimination
221
6.2 What Is the Consolidation Monitor?
222
6.2.1 Layout
223
6.2.2 Tasks
224
6.3 Configuring the Consolidation Monitor
227
6.3.1 Reclassification Methods
227
6.3.2 Tasks and Task Groups
233
6.3.3 Defining Document Types
237
6.4 Configuring Intercompany Elimination
240
6.4.1 Business Rules
240
6.4.2 Predefined Configurations
248
6.5 Eliminating Intercompany Transactions
249
6.5.1 Execution in the Consolidation Monitor
249
6.5.2 Validating Eliminations and Reclassifications
251
6.5.3 Reporting
253
6.6 Summary
255
7 Consolidation of Investments
257
7.1 What Is Consolidation of Investments?
258
7.1.1 Rule-Based Consolidation of Investments
258
7.1.2 Activity-Based Consolidation of Investments
262
7.2 Configuring Consolidation of Investments
264
7.2.1 Reviewing Consolidation Methods
264
7.2.2 Configuring Consolidation Groups
269
7.2.3 Modifying Predefined Configuration
271
7.3 Running Equity Pickup
279
7.3.1 Execution in the Consolidation Monitor
279
7.3.2 Validating Consolidation of Investments
280
7.3.3 Reporting
281
7.4 Summary
282
8 Consolidation Entries
283
8.1 Common Consolidation Entries
283
8.2 Journal Entry Template
285
8.2.1 Getting Started
286
8.2.2 Configuring the Journal Entry Template
288
8.2.3 Making Consolidation Entries
291
8.3 Summary
297
9 Matrix Consolidation
299
9.1 What Is Matrix Consolidation?
299
9.2 Configuring Matrix Consolidation
300
9.2.1 Parameters and Master Data
301
9.2.2 Business Rules
302
9.3 Running Matrix Consolidation
305
9.3.1 Managing Global Accounting Hierarchies
305
9.3.2 Reporting
307
9.4 Summary
311
10 Financial Close
313
10.1 Ledger Close
313
10.2 Group Close
316
10.2.1 Period-End Close
316
10.2.2 Dependencies on Ledger Close
319
10.2.3 Continuous Accounting Using Group Reporting
319
10.3 Summary
321
11 Consolidation Reporting
323
11.1 Predefined Reports
323
11.1.1 Local (Preconsolidation) Reports
323
11.1.2 Group (Consolidated) Reports
324
11.2 Drill-Through to Transaction Data
326
11.3 Data Analysis Using Reporting Rules
328
11.4 Additional Reporting Tools
333
11.4.1 SAP Analysis for Microsoft Office
333
11.4.2 SAP Analytics Cloud
342
11.4.3 SAP Fiori
350
11.5 Summary
355
12 Conclusion
357
12.1 Book Summary
357
12.2 Considerations for Your Group Reporting Journey
358
12.3 Five Key Takeaways
360
The Authors
363
Index
365