Financial analysts often pull data from SAP-based ERP workflows into reporting layers to validate pricing, revenue, and master-data consistency. Interviewers want to hear both your SQL fluency and how you handle data quality in structured finance datasets.
Explain how you have used SAP in prior roles to manage financial data or pricing structures, with emphasis on how you would query and validate that data in SQL. You should describe how you would join transactional data with customer, material, or pricing-condition tables; how you would detect missing or inconsistent records; and how you would confirm that reported values match source-system logic.
Keep your answer practical rather than purely functional. The interviewer is looking for a medium-depth explanation of table relationships, reconciliation logic, null handling, and common validation checks you would perform after extracting SAP data into a PostgreSQL reporting environment or NVIDIA finance analytics workflow.