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SAP SAP Application Associate C-TFIN22-64

C-TFIN22-64

Exam Code: C-TFIN22-64

Exam Name: SAP Certified Application Associate - Management Accounting (CO) with SAP ERP 6.0 EHP4

Updated: Sep 28, 2026

Q & A: 80 Questions and Answers

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SAP C-TFIN22-64 Exam Syllabus Topics:

SectionObjectives
Topic 1: Product Cost Controlling- Cost object controlling
- Cost estimates and variance analysis
Topic 2: Overview of Management Accounting (CO)- Organizational structures in Controlling
- Integration with Financial Accounting (FI)
Topic 3: Cost Center Accounting- Actual postings and allocations
- Planning and budgeting
Topic 4: Profitability Analysis (CO-PA)- Reporting and analysis
- Account-based and costing-based CO-PA concepts
Topic 5: Internal Orders- Settlements and reporting
- Order creation and lifecycle
Topic 6: Planning, Allocation and Reporting- Planning methods in CO
- Overhead allocation and assessment

SAP Certified Application Associate - Management Accounting (CO) with SAP ERP 6.0 EHP4 Sample Questions:

Question #1
A customer asks you to explain the category price variances received on production orders. What could be the reason for price variances? Note: There are 2 correct answers to this question.

A. The activity types were consumed from different cost centers.
B. The master data of the consumed materials is V price indicated.
C. The respective routing has changed.
D. The valuation variants of the cost estimate and the production order are different.


Question #2
Which data can be saved when storing a material cost estimate with quantity structure? Note: There are 3 correct answers to this question.

A. Itemization
B. Log
C. Cost components split
D. Extract
E. Variance categories


Question #3
What do cost center categories allow you to do? Note: There are 2 correct answers to this question.

A. Determine the use of cost centers in cost allocations.
B. Restrict the assignment of specific activity types.
C. Determine the usage of cost centers for certain methods of activity allocation.
D. Restrict cost center planning to specific cost elements.
E. Provide default values for new cost centers (for example, block indicators).


Question #4
A customer uses assessment cycles in cost center accounting. How can the customer see the results on the profit centers in New GL?

A. By activating plan integration for profit centers.
B. By activating the real-time reconciliation between CO and FI.
C. By activating document split for cost centers in New GL.
D. By defining and execute the equivalent cycles in the New GL.


Question #5
Why do you use variants in reporting? Note: There are 2 correct answers to this question.

A. To optimize the runtime of a report.
B. To permit quick navigation between CO objects.
C. To predefine values for complex selection screens.
D. To specify parameter values for background processing.


Solutions:

Question #1
Correct Answer: B,D
Question #2
Correct Answer: A,B,C
Question #3
Correct Answer: B,E
Question #4
Correct Answer: B
Question #5
Correct Answer: C,D

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