Sap Fi/co Consultant (fica) Resume
Westwood, MA
SUMMARY
- Extensive SAP FI/CO Functional Consultant experience which includes multiple full life cycle global implementations projects.
- Experience in Designing, Business Process Re - engineering, Implementing, Customizing, Configuring, Integrating, Go-Live & Supporting.
- Experience in manufacturing, Pharmaceuticals industries.
- Excellent Financial Accounting expertise in configuring FI-G/L, Accounts Payable FI-A/P, Accounts Receivable FI-A/R, FI-BA especially in highly Complex Business Environments.
- Experience in CRM 7.0 Service.
- Good knowledge of configuring SAP Material Ledger, Material Valuation, CO-PC, CO-PA, planning and budgeting in SAP.
- Broad Experience in ASAP Project Implementation Methodology.
- Excellent knowledge on integration between ECC and CRM.
- Expertise in designing, building, and deploying solutions for the new processes.
- Expertise in testing FI/CO configuration settings: Regression Testing, Unit Testing, Integration Testing, and User Acceptance Testing.
- Highly organized thought process and well structured problem dealing attitude with an edge of innovativeness.
- Excellent presentation and inter-personal skills with strong analytical ability and problem-solving capabilities.
- Intrigue at decision making, self-motivated, good team player and can perform well under pressure.
PROFESSIONAL EXPERIENCE
Confidential, Waltham, MA
SAP FI/CO Functional Consultant
Responsibilities:
- Worked on Full Life Cycle Implementation of the project; including blue-print preparation, configuration, end-user training and go-live phases.
- Followed ASAP methodology in implementing the project, Involved in test phases i.e. unit testing, integration testing. Provided user training in the modules of FI and CO.
- Worked on cut-over and go-live phase and provided post live support, coordinating and solving issues with QA and production.
- Worked on writing the functional specifications for RICEF objects.
- Worked in AP/AR (F110, LIV, Vendor master setup, Payment method set up, Check printing).
- Worked on designing, building, and deploying solutions for the new processes.
- Integrated ECC with CRM module for FI account determination.
- Performed configuration on SAP CRM for deploying the proposed solutions.
- The integration of product costing with PP module including settings for BOM, routing, work centres, production version etc.
- Worked on Procure to Pay (P2P), Order to Cash (OTC) and Make to Order processes.
- Worked on setting up Tax codes with Vertex teams and made sure the exceptions are coded.
- In Profit Centre Accounting maintained the master data, standard hierarchy, substitutions, and assignments.
- Worked on integration testing and UAT (User acceptance testing) with different modules and users.
- Created test scripts, test plans and RTM (Requirement Traceability Matrix).
- Worked under Onsite-offshore model for month end closing support.
Environment: ECC 6.0, FI-GL, FI-AP, FI-AR, CO-CCA, CO-PCA, Material Ledger, Material Valuation CO-PC.
Confidential, NJ
SAP FI/CO Consultant
Responsibilities:
- Worked on Full Life Cycle Implementation of the project; including blue-print preparation, configuration, end-user training and go-live phases.
- Followed ASAP methodology in implementing the project, Involved in test phases i.e., unit testing, integration testing. Provided user training in the modules of FI and CO.
- Worked on go-live phase and provided post live support, QC. Coordinating and solving issues with QA and production.
- Prepared functional specifications for RICEF objects.
- Configured the settings in GL area, such as creating G/L master data, open item clearing.
- Customer account groups, terms of payment, tolerance limits for customer payments, dunning, and down payments.
- Configuration for the creation of A/R invoices and posting of manual incoming payments with differences.
- Integrated ECC 6.0 with SAP CRM module for FI account determination.
- Worked on Procure to Pay (P2P), Order to Cash (OTC) and Make to Order processes.
- Process payment advices to clear customer open items through automatic processing of BDC sessions and QTP.
- Worked under Onsite-offshore model.
- Setting up of own payment methods, payment files and advices through change in SAP scripts
- Configuration and creation of house banks, bank accounts and assignment of these accounts to a check lot.
- Configured automatic payment program for out-going payments in A/P.
- Worked on SD-FI integration and MM-FI integration for Account Determination in FI.
- Worked on Material Ledger, Logistics Invoice Verification (LIV), Material Valuation.
- Starting with Purchase Requisition, Purchase Order, Goods Receipt, Invoice Verification, Vendor Payment and Check clearing sub-processes.
- Prepared Required Test Plan (RTP), developed scripts using tools like HP QC.
- Configured lockbox processing, cash management. Generated bank advices and account posting.
- Imported and processed Electronic bank statements (EBS) worked with BAI2 file formats.
Environment: ECC 6.0, FI-GL, FI-AP, FI-AR, CO-CCA, CO-PCA, CO-PA, Material Ledger, Material Valuation and CO-PC.
Confidential, Houston, TX
SAP FI/CO Consultant
Responsibilities:
- End to end ASAP methodology implementation.
- Involved in Full Life Cycle Implementation of the project; including blue-print preparation, configuration, testing, end-user training and go-live phases.
- Interacted with client for requirements gathering and analysis. Reviewed and updated the functional design documents for FI/CO developments
- Uploaded 10000 records of customers and Vendors from Legacy system into SAP using LSMW.
- Created company code, Chart of Accounts, Account Determination, Account Groups, Fiscal Year variant, Posting Period Variant, Field Status Variant
- Credit control area, substitutions, validations and Financial statement version, cost centre standard hierarchy, document types and number ranges, field status groups etc.
- Configured the assignment of company code to controlling area.
- Configured FI-MM integration interface in the areas of enterprise structure, Automatic postings for MM through OBYC, defined required GL accounts for various transaction keys.
- Worked in creation of different artifacts in different phases of the SAP project life cycle.
- Created functional specs for Reports, Interfaces, Conversions, Enhancements, Forms etc.
- Worked with ABAP coders to determine the right fields and tables in SE11 and SE16.
- Developed custom program to send positive pay file to bank.
- Configured FI-SD integration interface in the area of Enterprise Structure, and Revenue accounts determination through VKOA, mapping required GL accounts to the account keys.
- Unit Testing - Complete Unit testing of FI-GL, FI-AP, FI-AA, CO-CCA, CO-PC.
- Integration Testing - Complete business cycles across sub-modules were tested, in conjunction with the users and core team representatives from the client side.
- Involved in solving the production issues in Automatic Payment Program (APP), QTP
- Account Assignment, and interest calculation on open items, foreign currency valuation, regrouping offline items, check management and void reason codes.
Environment: SAP ECC 6.0, FI-GL, FI-AP, FI-AR, Profit centers and COPA.
Confidential, Westwood, MA
SAP FI/CO Consultant (FICA)
Responsibilities:
- Worked in ABAP debugging, batch processing and batch job scheduling.
- Design and developing GL/AP/AR interfaces as per business needs.
- Worked on HP Quality Center for Test management purpose.
- Developed a widely used, high business impact, custom user interactive report for capturing failed IDOCS and which enables power users to rectify the errors and process the IDOC’s immediately.
- Worked on testing defect resolution including development of test scenarios and scripts, execution and reporting of results using appropriate testing tools.
- Creation of settlement cost element, settlement structure, settlement profile, configuring of order planning
- Budgeting and defining status profile, defining order types, Assigning of Number ranges to order types and Field selection settings.
- Developed AR custom report for month end closing to capture the every detail of Closed and Open Customer invoices.
- Supported Risk, Issue, Change Request and Defect Tracking processes.
- Tested, implemented and tracked custom developed enhancements, interfaces, and function modules.
Environment: FICA, FI-GL, FI-AP, FI-AR, Profit centers and COPA.
Confidential, Burbank, CA
SAP FICO Consultant
Responsibilities:
- Configuring and customizing G/L account master records, chart of accounts, field status groups, automatic account determination, financial statement versions, G/L display configuration, validations and substitutions,
- Configuring and customizing vendor/customer master data, account groups, Logistic invoice verification (LIV), payment program configuration, interest calculation, credit management, tolerances groups, check management.
- Integrated MM and FI modules for according to movement types and valuation classes.
- Setting up of basic data, organizational units, Assignments of master data indexes, Created Earmarked funds, Filed Controls for Earmarked funds, Status management,
- Developed, stabilized and maintenance of inbound/outbound master data/transactional data, sap ~ SAP, Legacy ~ SAP interfaces.
- Developed custom ABAP reconciliation reports and embedded in data transmitting interfaces which enables legacy user community to reconcile and validate the data in legacy systems immediately.
- Interacted with BW team, Conducted meetings, coordinated in Functional specs, analysis and Query developing in BW Box.
- Worked under Onsite-offshore model to deliver in rapid solutions.
- Month end/quarter end/year end supports.
Environment: SAP ECC 6.0, FI-GL, FI-AP, FI-AR, CO-CCA, CO-PCA
Confidential, St. Paul, Minnesota
SAP Support Analyst
Responsibilities:
- Resolved Severity-1 & 2 during hyper care equivalently with project team.
- Coordinated with offshore & onsite teams for OTC AR & Cash Apps.
- Coordinated with Delivery Manager for estimation and scheduling of functional specification.
- Provided functional guidance to the onshore and offshore developers creating Change Request Document (CRD) in the client specific Toolsets.
- Expertise on Excel (Pivot, VLookups, HLookup).
- Maintained test scripts and defects through HP Quality Center (QC).
- Worked on Month end closing activities.
- Worked under Onsite-offshore model.