Cash Management
Short-term financial budgeting – daily financial status (calculation of daily balances based on value dates) Manual memo records Manual check deposit (design entry screens, create posting rules) Electronic and manual bank statement (application and Customizing; company-specific posting rules and account …
- Short-term financial budgeting – daily financial status (calculation of daily balances based on value dates)
- Manual memo records
- Manual check deposit (design entry screens, create posting rules)
- Electronic and manual bank statement (application and Customizing; company-specific posting rules and account determination)
- Medium-term financial budgeting – liquidity forecast (projection of cash flows, taking account of payment history; integration with logistics data and financial transactions)
- Account clearing
Level:
Details, Configuration & Transaction
Course included in the following training paths:
SAP ERP
Goals
- Course participants learn the functions of cash management and the short and medium-term liquidity monitoring.
- Long-term financial budgeting is not covered in this course.
- Learn how to use Customizing to adapt the system to meet your company- specific requirements.
Audience
- Project team
- Consultants
Prerequisites
- Practical knowledge of SAP Financial Accounting
Course based on software release
- SAP ERP 6.0 Enhancement Package 7
Notes
- This course also discusses the functions of the following SAP releases: R/3 4.6, R/3 Enterprise Ext. 1.10/ 2.00, SAP ERP Central Component 5.0.