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CO Controls Super User Training

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Personnel Number 12345. If personnel number is less than ... Name: Cell Phone # UOM: each. Category: Fixed. Exercise: Workstation 1: T101. Workstation 2: T102 ... – PowerPoint PPT presentation

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Title: CO Controls Super User Training


1
CO ControlsSuper User Training
2
Welcome and Ground Rules
  • Have fun and enjoy the opportunities we have to
    contribute to SBBCs future success!
  • Please turn off or silence cell phones and pagers
  • Please do not read or send email messages during
    class time
  • Respect those speaking and asking questions by
    keeping side discussions to a minimum
  • Please do not interrupt the person speaking
  • We will start, break, and end on time
  • All unanswered questions will be placed in the
    Parking Lot and answers will be distributed
    later

3
Logistics
Before we get started ...
4
Classroom Materials
Exercises
BRITE
(Let Me)
Concepts
(Tell Me)
Demonstrations
(Show Me)
5
Course Objectives
  • At the end of this course, you should be able to
  • Create CO Master Data
  • Enter a Manual Allocation
  • Enter Direct Activity Allocation
  • Display and drill down on CO documents
  • Display Activity Type Report
  • Observe assessment cycles design and execution
  • Observe distribution cycles design and execution
  • Change Standard Hierarchy
  • Lock CO Periods

6
SAP Basic Navigation and FundamentalsGetting
Into SAP
7
BRITE
  • What is BRITE?
  • Broward Innovative Tool for Education, will
    streamline Browards business systems
  • It provides staff with access and real-time data
    in the latest version of the SAP software.
  • BRITE brings one business system to Broward
    Schools.
  • BRITE is a project of the Enterprise Resource
    Planning Department, ERP.

8
SAP BRITE Website
  • For end users, SAP will now be accessed through
    the web.
  • On Windows-based computers, you will access SAP
    in Internet Explorer.
  • There will be a button to access SAP on the ERP
    Department web page

www.broward.k12.fl.us/erp
Click this button to Access the BRITE Portal
9
Logging Into the BRITE Portal
  • User Login ID
  • Entry format P00012345
  • 8 digits starting with the letter p
  • Personnel Number 12345
  • If personnel number is less than
  • 8 characters, then add leading zero(s)
  • Password (first time users only)
  • Entry format JA021956
  • MM first 2 letters of birth month (JA)
  • DD 2-digit birth day (02)
  • YYYY 4-digit year of birth (1956)

10
Initial Password Selection
You will click here to change your password
11
Portal Assistance
If you have trouble logging into the Portal,
select Get Support.
Select Get Support to Request a New Password
12
BRITE Portal Screen
  • Single sign on access to systems you need to do
    your work, including SAP (that means one
    password!)
  • Tabs in the Portal screen will be customized
    based on the users role
  • All users will have access to the Home and
    Employee Self Service (ESS) tabs

13
SAP Access via the BRITE Portal
14
Icons to remember
15
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16
Business Area Hierarchy
17
Business Areas - Schools
18
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19
OKKS Set Controlling Area
  • Use this procedure to establish the Controlling
    Area for the CO module used the School Board of
    Broward County.
  • Perform this procedure when the Controlling Area
    has not been set. The School Board of Broward
    County will be using one Controlling Area, SBBC.

20
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21
Cost Center Structure
22
KS01 Create Cost Center
  • Use this procedure to create new cost centers.
    Cost Centers are the main component of the CO
    master data. They represent the lowest
    organizational level at the School Board of
    Broward County where cost responsibility will
    reside.

23
KS01 Create Cost Center
  • Only Food Service Cost Centers must have the
    Plant and Storage Locations filled in
  • Plant 5000
  • Storage Location MSID

24
Demonstration
  • Scenario Create Cost Center
  • Transaction Code KS01
  • New Department 9876
  • Division Chief Financial Officer
  • Name Training Cost Center
  • Exercise
  • Workstation 1 CC 9875
  • Workstation 2 CC 9874
  • Workstation 3 CC 9873
  • Workstation 4 CC 9872

25
KS02 Change Cost Center
  • Name Training Cost Center .2
  • Exercise Training Cost Center .2

26
KS04 Delete Cost Center
  • Perform this procedure when there is a need to
    delete a cost center. Cost Centers should only be
    deleted if a Create Transaction (KS01) was
    entered in error and should not remain in the
    Cost Center Hierarchy. No postings should have
    been entered against the Cost Center.

27
KSH1 Create Cost Center Group
  • Use this procedure to build cost center hierarchy
    groups, which summarize the decision-making,
    responsibility, and control areas according to
    the particular requirements of the organization.
    The individual cost centers are attached to the
    lowest hierarchical node level.

28
Demonstration
  • Scenario Create Cost Center Group
  • Transaction Code KSH1
  • New Group Elementary Group
  • Exercise (3 elementary schools)
  • Workstation 1
  • Workstation 2
  • Workstation 3
  • Workstation 4

29
Internal Order Structure
30
KO01 Create Internal Order
  • Use this procedure to create new Internal
    Orders. Internal Orders are cost collectors
    similar to Cost Centers however, unlike Cost
    Centers, Internal Orders are temporary in nature.

31
Demonstration
  • Scenario Create Internal Order
  • Transaction Code KO01
  • Internal Order OB09708005
  • IO Name Training Internal Order
  • Responsible CC Financial Reporting
  • Exercise
  • Workstation 1 001
  • Workstation 2 002
  • Workstation 3 003
  • Workstation 4 004

32
Secondary Cost Element Structure
33
KA06 Create Secondary Cost Element
  • Use this procedure to create a new secondary cost
    element for use in the monthly chargeback process
    or for processing other type of charges such as
    the ones generated by Service Providers.

34
Demonstration
  • Scenario Create Secondary Cost Element
  • Transaction Code KA06
  • Cost Element 99105105
  • Cost Element Training CE 105
  • Category Assessment
  • Exercise
  • Workstation 1 99105101
  • Workstation 2 99105102
  • Workstation 3 99105103
  • Workstation 4 99105104

35
Activity Types Structure
36
KL01 Create Activity Type
  • The activity type classifies specific activities
    provided by a sending cost center ( Service
    Provider Cost center like BECON ) for purposes of
    cost allocation.

37
Demonstration
  • Scenario Create Activity Type
  • Transaction Code KL01
  • Activity Type BZ0005
  • Name Binding 5
  • Act Unit Each
  • CCtr Cat W
  • ATyp Cat 1
  • Cost Element (created in earlier exercise)
  • Price Ind. 3
  • Exercise
  • Workstation 1 BZ0001
  • Workstation 2 BZ0002
  • Workstation 3 BZ0003
  • Workstation 4 BZ0004

38
Statistical Key Figure Structure
39
KK01 Create Statistical Key Figure (SKF)
  • Use this procedure to create a statistical key
    figure (SKF), for example, the square footage for
    SBBCs buildings. This statistical key figure
    could be used later as a basis of cost
    allocations (assessment cycles in SAP).

40
Demonstration
  • Scenario Create SKF
  • Transaction Code KK01
  • SKF T105
  • Name Cell Phone
  • UOM each
  • Category Fixed
  • Exercise
  • Workstation 1 T101
  • Workstation 2 T102
  • Workstation 3 T103
  • Workstation 4 T104

41
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42
KB31N Enter Statistical Key Figure (SKF)
  • Use this procedure to enter (i.e. post)
    quantities for various statistical key figures.
    Statistical key figure (SKF) is used as a basis
    for internal allocations, such as settlements and
    assessments.

43
Demonstration
  • Scenario Enter SKF
  • Transaction Code KB31N
  • SKF T105
  • Quantity 3
  • Rec Cost Center 1320097250
  • Fund 4110
  • Functional Area 7601000000000000
  • Exercise
  • Workstation 1 T101
  • Workstation 2 T102
  • Workstation 3 T103
  • Workstation 4 T104

44
KP26 Chg Plan Data for Activity Types
  • Use this procedure to input a new or change an
    existing activity price. As the activity price
    needs to be maintained as a combination of Cost
    center and Activity Type.

45
KP26 Chg Plan Data for Activity Types
  • Entering the price manually through KP26

46
Demonstration
  • Scenario Change Plan Data
  • Transaction Code KP26
  • Version 0
  • Periods 1 to 12
  • Fiscal year 2008
  • Cost Center BECON
  • Activity Type BZ0005 (AT created earlier)
  • Exercise
  • Workstation 1 BZ0001
  • Workstation 2 BZ0002
  • Workstation 3 BZ0003
  • Workstation 4 BZ0004

47
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48
KB15N Enter Manual Allocations
  • Perform this procedure for either (a)
    Inter-Departmental Billing (one Sender to one
    Receiver) or (b) when an error has been made
    during the posting of an Assessment Cycle.

49
Demonstration
  • Scenario Enter Manual Allocation
  • Transaction Code KB15N
  • Cost Element Printing Service
  • Amount 35.00 (Business Cards 5)
  • Sending CC Printing Svcs.
  • Fund 7910
  • Func Area 7760000000000000
  • Rec Cost Center Elementary School (write it
    down)
  • Fund 1000
  • Functional Area 7301000000000000
  • Exercise
  • Workstation 1 Elm CCtr________________ Doc
    ____________________
  • Workstation 2 Elm CCtr________________ Doc
    ____________________
  • Workstation 3 Elm CCtr________________ Doc
    ____________________

Doc ______________
50
KB17N Reverse Manual Allocations
  • Use this procedure to reverse a manual cost
    allocation (posted using transaction KB15N), for
    example, if that posting was done in error.

51
Demonstration
  • Scenario Reverse a Manual Allocation
  • Transaction Code KB17N
  • Document From Previous Exercise
  • Exercise
  • N/A - Only for observation

52
KB21N Enter Direct Activity Allocations
  • Perform this transaction to post costs to
    Receivers (other Cost Centers or WBS elements)
    broken down by activity types and their implied
    standard cost/rate.

53
Demonstration
  • Scenario Enter Direct Activity Allocation
  • Transaction Code KB21N
  • Quantity 10
  • Sending CC BECON
  • Activity Type BZ0005
  • Fund 1020
  • Func Area 6200000000000000
  • Rec Cost Center Elementary School (write it
    down)
  • Fund 1000
  • Functional Area 6301000000000000
  • Exercise
  • Workstation 1 BZ0001 - CCtr________________ Doc
    ____________________
  • Workstation 2 BZ0002 - CCtr________________ Doc
    ____________________
  • Workstation 3 BZ0003 - CCtr________________ Doc
    ____________________

Doc ______________
54
KB24N Reverse Direct Activity Allocations
  • Perform this procedure when you have erroneously
    posted an activity allocation using transaction
    code KB21N. This transaction will allow you to
    reverse that posting.

55
Demonstration
  • Scenario Reverse Direct Activity Allocation
  • Transaction Code KB21N
  • Document From Previous Exercise
  • Exercise
  • N/A Only for observation

56
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57
KSB5 Display Actual Cost Documents
  • Use this transaction to display an actual
    posting document in the CO module.

58
Demonstration
  • Scenario Display CO Documents
  • Transaction Code KSB5
  • Document Number 1 to 9999999999
  • Exercise
  • Workstation 1 Enter your document number
  • Workstation 2 Enter your document number
  • Workstation 3 Enter your document number
  • Workstation 4 Enter your document number

59
KSBT AT Price Report
  • Generate this report to obtain a report on
    activity prices or standard costs pertaining
    to selected Cost Center(s) and rate activity
    types.

60
KSBT AT Price Report
61
Demonstration
  • Scenario Activity Type Price Report
  • Transaction Code KSBT
  • Activity Types BA0001 to BZ9999
  • Version 0
  • Fiscal Year 2008
  • Periods 1 to 12
  • Exercise
  • Execute the Activity Type Price Report

62
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63
KSU1 Create Actual Assessment
  • Use this Assessment transaction, to create a
    cycle to be executed typically at the end of a
    month (and at year-end), for the allocation of
    costs incurred by one or more cost center/s to
    many other cost centers.

64
KSU5 Execute Actual Assessment
  • Perform this transaction and related steps when
    there is an assessment to be carried out from one
    or more Sender Cost Center/s to many Receiver
    cost centers based on an allocation base (maybe
    by Activities, Costs, or Statistical key figures
    ).

65
Demonstration
  • Scenario Review an Assessment Cycle
  • Transaction Code KSU2 or KSU3
  • Cycle P08001
  • Review aspects of an assessment, such as
    segments, senders, and receivers.
  • Exercise
  • N/A Only for observation

66
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67
KSV1 Create Actual Distribution
  • Use this Distribution transaction, to create a
    cycle to be executed typically at the end of a
    month (and at year-end), for the distribution of
    costs incurred by one or more cost center/s to
    many other cost centers.

68
KSV5 Execute Actual Distribution
  • Perform this procedure when there are charges
    that need to be distributed from one or more
    Sender Cost Center (or Grant) to many other
    Receiver Cost Centers (or Grants).

69
Demonstration
  • Scenario Review a Distribution Cycle
  • Transaction Code KSV2 or KSV3
  • Cycle P08002
  • Review aspects of an assessment, such as
    segments, senders, and receivers.
  • Exercise
  • N/A Only for observation

70
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71
OKEON Change Standard HierarchyOKENN Display
Standard Hierarchy
  • Use this procedure to make changes to the
    Standard Hierarchy and master data contained
    within it. Each cost center needs to be assigned
    to Standard Hierarchy. Therefore, if the changes
    are required, then you can use this transaction.

72
Demonstration
  • Scenario Display Standard Hierarchy
  • Transaction Code OKENN
  • Exercise
  • Review aspects of a standard hierarchy for the
    following cost centers
  • 3471406010
  • 2200097080

73
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74
S_ALR_87013611 Cost Centers Actual/
  • Perform this procedure when you wish to view
    transactions on a single Cost Center, Cost Center
    Group, or a range of Cost Centers.

75
Demonstration
  • Scenario Execute Cost Center Report
  • Transaction Code S_ALR_87013611
  • Fiscal Year 2008
  • Period 5
  • Version 0
  • Exercise
  • Execute report for the following cost centers
  • 1320097250
  • 2210097040
  • The cost centers you charged against in earlier
    exercises

76
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77
OKP1 Change Period Lock
  • Use this procedure to open or close the month on
    the Controlling module/ledger. This will allow or
    block postings to the CO ledger, including
    through posting from FI module.
  • Before closing a period, the user should make
    sure that all postings to the CO ledgers
    (including those originating from revenue
    expense accounts into FI ledger) for the current
    month are completed.

78
OKP1 Change Period Lock
  • It is necessary to follow the month-end closing
    schedule, which would outline the sequence of the
    steps.

79
Demonstration
  • Scenario Close Period 5
  • Transaction Code OKP1
  • Controlling Area SBBC
  • Fiscal Year 2008
  • Version 0
  • Exercise
  • N/A Only for observation
  • Note - OKP2 Display Period Lock

80
Wrap-Up/QA
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