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    Cash And Liquidity Management In Sap S/4 Hana Fscm

    Posted By: ELK1nG
    Cash And Liquidity Management In Sap S/4 Hana Fscm

    Cash And Liquidity Management In Sap S/4 Hana Fscm
    Published 3/2023
    MP4 | Video: h264, 1280x720 | Audio: AAC, 44.1 KHz
    Language: English | Size: 781.75 MB | Duration: 1h 10m

    In this course we will discuss about Cash and Liquidity Management in SAP S/4 Hana FSCM

    What you'll learn

    Cash Management

    Liquidity Management

    Bank Transfer

    Cash Pooling

    Requirements

    SAP S4 Hana Finance Understanding

    Description

    SAP FI Cash Management is a sub-component of Financial Supply Chain Management. It can be integrated with a range of other SAP components. Example − The liquidity forecast – in a medium- to long-term liquidity trend – integrates expected incoming and outgoing payments in financial accounting, purchase, and sales.There are 3 major functional areas of SAP Cash Management— Bank Relationship Management, Cash Operations, and Liquidity Management.SAP Cash Management consists of three components, namely “Bank Account Management” (BAM), “Cash Operations” and “Liquidity Management”Cash management is a sub-module of Treasury that may be utilized as a planning tool for cash control and for reliable, up-to-date liquidity analysis of the company. Planning levels explain the origin of the data in Cash management, reflect typical financial transactions (e.g., F0-posting to a bank account in FI, AP-payment advice) and thus enable users to better estimate its reliabilityBenefits of Cash ManagementData Integration within Operating Systems and Modules like Financials, Logistics, and Treasury Treasury.Supports Electronic Banking Functions for Online transactions as well as Online bank reconciliation.Cash Position : Daily bank account Balances by Value DateMonitoring Value Dates, Cheques Issued,Cheques Deposited Stale Cheques etc.Cash Forecast: Expected future movements of funds Inflow and Outflows on account of payments/collections made.Liquidity Forecast: Expected future Inflows / Outflows from customers and vendors, planned data.Cash Concentration: Concentrated Bank AccountsReports related to Cash MangementAccount wise movement in a bank account can be tracedCheques issued and collected can be tracedCash position report gives the bank account movement to a specific periodLiquidity forecast report gives better visibility of cash liquidity

    Overview

    Section 1: Cash and Liquidity Management

    Lecture 1 Introduction

    Lecture 2 Flow Type

    Lecture 3 Data Setup

    Lecture 4 Bank Transfer

    Lecture 5 Bank Risk

    Lecture 6 Cash Pooling

    Lecture 7 Liquidity Management

    SAP S4 Hana Finance Consultant