SAP C_TS4FI_1909 Dumps

SAP C_TS4FI_1909 Dumps PDF

SAP Certified Application Associate - SAP S/4HANA for Financial Accounting Associates (SAP S/4HANA 2021)
  • 80 Questions & Answers
  • Update Date : October 01, 2024

PDF + Testing Engine
$65
Testing Engine (only)
$55
PDF (only)
$45
Free Sample Questions

Master Your Preparation for the SAP C_TS4FI_1909

We give our customers with the finest C_TS4FI_1909 preparation material available in the form of pdf .SAP C_TS4FI_1909 exam questions answers are carefully analyzed and crafted with the latest exam patterns by our experts. This steadfast commitment to excellence has built unbreakable trust among countless people who aspire to advance their careers. Our learning resources are designed to help our students attain an impressive score of over 97% in the SAP C_TS4FI_1909 exam, thanks to our effective study materials. We appreciate your time and investments, ensuring you receive the best resources. Rest assured, we leave no room for error, committed to excellence.

Friendly Support Available 24/7:

If you face issues with our SAP C_TS4FI_1909 Exam dumps, our customer support specialists are ready to assist you promptly. Your success is our priority, we believe in quality and our customers are our 1st priority. Our team is available 24/7 to offer guidance and support for your SAP C_TS4FI_1909 exam preparation. Feel free to reach out with any questions if you find any difficulty or confusion. We are committed to ensuring you have the necessary study materials to excel.

Verified and approved Dumps for SAP C_TS4FI_1909:

Our team of IT experts delivers the most accurate and reliable C_TS4FI_1909 dumps for your SAP C_TS4FI_1909 exam. All the study material is approved and verified by our team regarding SAP C_TS4FI_1909 dumps. Our meticulously verified material, endorsed by our IT experts, ensures that you excel with distinction in the C_TS4FI_1909 exam. This top-tier resource, consisting of C_TS4FI_1909 exam questions answers, mirrors the actual exam format, facilitating effective preparation. Our committed team works tirelessly to make sure that our customers can confidently pass their exams on their first attempt, backed by the assurance that our C_TS4FI_1909 dumps are the best and have been thoroughly approved by our experts.

SAP C_TS4FI_1909 Questions:

Embark on your certification journey with confidence as we are providing most reliable C_TS4FI_1909 dumps from Microsoft. Our commitment to your success comes with a 100% passing guarantee, ensuring that you successfully navigate your SAP C_TS4FI_1909 exam on your initial attempt. Our dedicated team of seasoned experts has intricately designed our SAP C_TS4FI_1909 dumps PDF to align seamlessly with the actual exam question answers. Trust our comprehensive C_TS4FI_1909 exam questions answers to be your reliable companion for acing the C_TS4FI_1909 certification.

Related Exams


SAP C_TS4FI_1909 Sample Questions

Question # 1

With the automatic clearing program, a user can clear open items for which of the following items? Choose the correct answers. (2)

A. Currency 
B. Subledger accounts 
C. General ledger 
D. Special general ledger indicator 



Question # 2

What are some of the benefits of SAP S/4HANA? Note: There are 2 correct answers to this question.

A. The data is aggregated on the fly from any line item table 
B. The data is summarized into higher levels of aggregates to help system performance 
C. The data is available in real time at line item detail 



Question # 3

What are the maintenance levels of a screen layout rule for asset classes?

A. Asset class, depreciation area, main asset number, group asset 
B. Depreciation area, asset class, main asset number, subnumber 
C. Asset class, main asset number, subnumber. 



Question # 4

Which of the following statements are correct? Choose the correct answers. 2

A. A task can be assigned only one possible processor. 
B. A company code can be assigned several workflow variants. 
C. The same workflow variant can be assigned to several company codes. 
D. It is possible to design multilevel workflow sequences. 



Question # 5

What is the maximum dunning level that can be assigned to a dunning procedure? Choose the correct answer.

A. 11 
B. 9 



Question # 6

What do you configure to allow cross-company-code transactions? Note- There are 2 correct answers to this question. 

A. Clearing accounts 
B. Account types 
C. Special G/L indicator 
D. Posting keys 



Question # 7

What are the results when you post an outgoing partial payment? There are 2 correct answers to this question.

A. A payment block is set on the invoice. 
B. A payment is created with reference to the invoice. 
C. The initial invoice is cleared. 
D. The initial invoice remains open. 



Question # 8

How many intervals are defined for the foreign currency valuation run ID per client? Choose the correct answer

A. 1 
B. 3 



Question # 9

Which is the first step in the procedure of making down payments in the customer area? Choose the correct answer

A. Customer invoice 
B. Down payment request 
C. Down payment received 



Question # 10

A general ledger account has a foreign currency setting of CAD. The company code currency is USD. The controlling area currency is EUR. Which currencies can you post to in this account? Please choose the correct answer.

A. You can only post to the account in CAD, USD, and EUR. 
B. You can only post to the account in CAD. 



Question # 11

Which of the following are valid settlement receivers when you liquidate an asset under construction on a starting basis? There are 2 correct answers to this question.

A. Cost center 
B. Profit center 
C. Functional area. 
D. Fixed asset 



Question # 12

What is the order of configuration within the SAP Financial Closing cockpit? 

A. Create template, create task list, create tasks, define dependencies, release task list 
B. Define dependencies, create template, create tasks, create task list, release task list 
C. Create task list, release task list, define dependencies, create template, create tasks 
D. Create template, create tasks, define dependencies, create task list, release task list 



Question # 13

After you collect data in the Intercompany Reconciliation tool, what are the next steps of the reconciliation process?

A. 1. Store the data2. Present reconciled and non-reconciled data.3. Communicate differences.4. Post the correction document
B.1. Post the correction documents.2. Store the data3. Present reconciled and non-reconciled data.4. Communicate differences.
C.1. Store the data2. Present reconciled and non-reconciled data.3. Post the correction documents.4. Communicate differences