
Money Market Instruments : Fixed Term Deposits, Interest Rate Instruments, Facilities, Commercial Paper
Foreign Exchange Transactions : FX Spot, FX Forward, FX Non-Deliverable Forwards
Treasury End to end business test scenarios, Treasury month end process, Configuration of Money Market instruments and Foreign Exchange instruments in SAP
Create Term Deposit, Settle Fix Term Deposit, Post Inception Flows Pay Money to Bank/ Fund transfer to Bank, Post Month End Accrual Entries, Post FI Doc on maturity/ Repayment, Accounting Reports
Create Interest Rate Instrument, Settle Interest Rate Instrument, Post Inception Flows, Pay Money to Bank/ Fund transfer to Bank, Post ME Accrual Entries, Update Reference Interest Rate, Run automatic Reference update, Repayment on Loan maturity, Accounting Report
Facilities: Create Bilateral Facility, Settle Bilateral Facility, Post FI document on Facility Charges Pay date, Utilize Facility towards Interest rate borrowing
Configure Ex Rate Calculation Indicator, Define Co Code Additional Data, Define Portfolio, Define Traders, Define User data
Configuration of Define Product Types, Define Number Ranges, Define Transaction Type, Define Flow Types, Assign Flow Types to Transaction Types, Define Update Types and Assign Usages, Define Condition Types, Assign General Valuation Class, Assign Forex Attributes
Configuration of Define Valuation Area, Define Accounting Code, Assign Accounting Code and Valuation Area, Define and Assign Valuation Classes, Foreign Currency Valuation Procedure, Define Position Management Procedure, Assign Position Management Procedure, Update Types for Key date valuation, Update Types for Derived Business Transactions, Define update types for Accrual/Deferral, Assign Update Types for Accrual/Deferral.
Configuration of Define Account Assignment Reference, Define Accounting Assignment Determination, Define Account Determination, Mirror Transactions
SAP is the biggest global player in ERP space. SAP Treasury & Risk Management is the most sought-after module. Learn SAP Treasury & Risk Management Business Process, Configuration, Testing and various SAP Treasury & Risk Management concepts. This course on SAP Treasury & Risk Management covers business process, concepts, configuration and testing on below topics.
1. End to End Business Scenarios: Fixed Term Deposits, Interest Rate Instruments – Fix/ Variable Interest rates, Facilities, Commercial Paper
2. End to End Business Scenarios: FX Spot, FX Forward, FX Non-Deliverable Forwards
3. SAP Treasury Month End Processing
4. SAP Treasury & Risk Management configuration
5. Demo Treasury Project implementation and Testing in SAP
SAP Treasury General Settings: Ex Rate Calculation Indicator, Define Co Code Additional Data, Define Portfolio, Define Traders, Define User data.
SAP Treasury Transaction Management Configuration: Define Product Types, Define Number Ranges, Define Transaction Type, Define Flow Types, Assign Flow Types to Transaction Types, Define Update Types and Assign Usages, Define Condition Types, Assign General Valuation Class, Assign Forex Attributes
SAP Treasury Financial Accounting Integration: Define Valuation Area, Define Accounting Code, Assign Accounting Code and Valuation Area, Define and Assign Valuation Classes, Foreign Currency Valuation Procedure, Define Position Management Procedure, Assign Position Management Procedure, Update Types for Key date valuation, Update Types for Derived Business Transactions, Define update types for Accrual/Deferral, Assign Update Types for Accrual/Deferral, Define Account Assignment Reference, Define Accounting Assignment Determination, Define Account Determination, Mirror Transactions