Exam Details

  • Exam Code
    :C_TFIN22_66
  • Exam Name
    :SAP Certified Application Associate - Management Accounting (CO) with SAP ERP 6.0 EHP6
  • Certification
    :SAP Certifications
  • Vendor
    :SAP
  • Total Questions
    :175 Q&As
  • Last Updated
    :Jul 06, 2025

SAP SAP Certifications C_TFIN22_66 Questions & Answers

  • Question 21:

    What does the SAP Web AS provide?

    A. Real-time data exchange with all SAP systems.

    B. Master data harmonization cross SAP NetWeaver.

    C. J2EE and ABAP in a single environment.

    D. Storage of all transactional documents in one single database.

  • Question 22:

    An Automotive customer works with 600,000 material numbers in a multi-level production environment. The whole costing run takes several hours. Now they are simulating the impact of an alternative production setup, which uses the same raw materials and semi- finished products.

    What option would you recommend to significantly shorten the duration of the costing run?

    A. Use the Schedule Manager to optimize the duration of the Costing Run.

    B. Use the easy cost planning function for simplified and accelerated costing.

    C. Assign a suitable transfer control strategy to the relevant costing variant in the IMG

    D. Define a mixed costing strategy and maintain mixing ratios.

  • Question 23:

    A customer asks you to explain the category price variances received on production orders. What could be the reason for price variances?(Choose two)

    A. The activity types were consumed from different cost centers.

    B. The master data of the consumed materials is V price indicated.

    C. The valuation variants of the cost estimate and the production order are different.

    D. The respective routing has changed.

  • Question 24:

    Which of the following are interactive functions available in the SAP List Viewer There are 3 correct answers to this question.

    A. Dual control.

    B. Sorting.

    C. Summation.

    D. Master data modification.

    E. D Filters.

  • Question 25:

    You have posted the results of an assessment cycle run, but some of the assigned receivers were incorrect.

    How can you correct this?

    A. Correct the receiver entries and rerun the cycle with a different cycle run group to post only the corrected results to the first run

    B. Cancel the allocation with the original settings before you correct the receiver entries and rerun the cycle

    C. Post a manual cost allocation with the same assessment cost element

    D. Correct the receiver entries and rerun the cycle. The original run will be canceled automatically

  • Question 26:

    The customer requires a flexible selection of cost elements when starting a Report Painter report. How do you define the report?

    A. Using a row model with predefined key figures.

    B. Using a variable for the cost element group.

    C. Using a predefined report template.

    D. Using a variable for the report variant.

  • Question 27:

    What are the key building blocks of the ASAP Roadmap?

    A. Project Quality Gates and Review Services

    B. Phases and Work streams

    C. Phases and Deliverable groups

    D. Phases and Activities

  • Question 28:

    A service company decides to implement Activity-Based Costing. They collect all process- related cost on ABC processes and want to allocate them periodically to their sales orders in Sales Order Management. Which functionality do you implement?

    A. Process assessment cycles

    B. Process settlement

    C. Template allocation technique

    D. Indirect process allocation

  • Question 29:

    Which master data is required for a direct activity allocation? (Choose three)

    A. Activity type

    B. Cost center

    C. Allocation cycle

    D. Activity price

    E. Secondary cost element

  • Question 30:

    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.

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