How a ticket (run time problem) comes to a junior sap
consultant (at support level)?
In which server he solves the ticket (run time problem)?

Answer Posted / isoumo

Tickets will be receiving from Production Server.
Solutions should be depends on client service desk. We
have to give the answers through emails.

If it is configuration change we have to ask Change Request
form from the client. Then we have to do configuration
after that it moves to testing server. Once consultant
checks if there is no error it will be transported to
Quality server, there user has to check and give User
Acceptance testing. Then only the requests move to
production server.

Is This Answer Correct ?    12 Yes 0 No



Post New Answer       View All Answers


Please Help Members By Posting Answers For Below Questions

What is credit control area in sap?

622


Explain the procurement cycle how it works?

655


In asset accounting what is the organizational assignments?

831


What are the procedure for implementing FI Sub Module, like AR, AP, AA etc

1654


currently i am recruited in rollout project my parent company is singapore and now we are doing rollout in malaysia.so could any one please tell me what are the neccesaary steps

1984






What is periodic processing in fi-aa? : fi- asset accounting

694


What is line item display? : fi- general ledger master data

591


What is a statistical key figure (skf)? : co- cost center accounting

642


How many chart of accounts can be attached to a company code?

625


What are the common document types in fi?

634


What is BBP for an SAP FI consultant? p,lz answer it , maximum company ask dis as the first question.

1278


How do you open a new fiscal year in the system?

608


What is the purpose of a "document type" in sap?

622


What is a cost center category? : co- cost center accounting

620


Hi all.... Please explain to me... what G/L account should I maintain / create If I want to do the intercompany transfer asset - no revenue. and if I want to do the intercompany transfer asset - Net Book Value. What is the different between this 2 method. My company's requirement is ... 1. Transfering the asset on company A to company B, example Asset 1 - acquisition date : 01.06.2007 , acquisition amount : 1000, accumulated depreciation till 31.12.2007 : 10 so the net book value is 90, useful life 4 years the company wants to transfer this asset in company B. is it possible to transfer all the data just like I explain above : acquisition date : 01.06.2007 , acquisition amount : 1000, accumulated dep = 10

1528