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Managing Financial Statement Versions

Managing Financial Statement Versions

Explanation Screenshot

Would you like to know more


about how a configuration
expert manages financial
statement versions?

If so, follow this interactive


tutorial.

1. To open the app, select


the Manage Your Solution
tile.

2. Choose Configure Your


Solution.

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Managing Financial Statement Versions

Explanation Screenshot

3. Open the Application Area


list.

4. Select Finance.

5. Open the Sub Application


Area list.

6. Select General Ledger.

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Managing Financial Statement Versions

Explanation Screenshot

7. To open the Chart of


Accounts screen, choose the
arrow.

8. In the Define Financial


Statement Versions row,
choose Configure.

9. Select the $US2


checkbox.

For this tutorial, the relevant


information has been
entered for you.

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Managing Financial Statement Versions

Explanation Screenshot

10. Choose Copy.

11. Select the checkbox for


US98.

12. Choose Financial


Statement Items.

On the Display Financial


Statement Version screen,
you can delete items and
assign accounts.

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Managing Financial Statement Versions

Explanation Screenshot

13. To return to the


launchpad, choose SAP.

You have seen how to


manage financial statement
versions.

This concludes
the interactive tutorial.

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