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You configure a new foreign exchange product and want automatic settlement on counter confirmation. At what level of configuration do you specify this requirement?
Where are the monitoring rules for the intraday bank statements assigned?Note: There are 2 correct answers to this question.
You work with pre converted currency data for liquidity planning in SAP Analytics Cloud.To which category can this data be applied?
Which of the following are features of the analysis structure in Market Risk Analyzer? (Choose Two)
You want to automatically allocate funds from the global headquarters level down to the lower level subsidiaries.How can you perform this task in your planning sheet on SAP Analytics Cloud?
You want to use the SOFR risk-free rate (RFR).For which product categories can parallel interest conditions be activated?Note: There are 2 correct answers to this question.
Which settings can be configured to generate outgoing correspondence?Note: There are 3 correct answers to this question.
You want to post subscription rights for a capital increase.Which function would you use?
You are interested in the total number and amount of incoming and outgoing payments at your house bank in the last 60 days.Which SAP Fiori app would you use to monitor this kind of information?
You are configuring the planned record update strategy for variable interest rate security instruments. This strategy determines the value to be used for displaying the variable interest rate flows that have not yet been adjusted in the cash flow.Which of the following strategies are available?Note: There are 2 correct answers to this question.
Which cash pool type is supported using the Manage Cash Pools SAP Fiori app?
Which of the following must be configured to use Liquidity Planning?Note: There are 2 correct answers to this question.
You want to use the basic cash management capability in SAP S/4HANA.Which functional features are provided with this setup?Note: There are 3 correct answers to this question.
You are working with security transactions.The position is the basis for which of the following?
Which of the following describes SAP Multi-Bank Connectivity? (Choose two)
Which of the following functions are performed in Credit Risk Analyzer?Note: There are 2 correct answers to this question.
Your customer requires you to create a two-step approval process. All payment approver groups must receive the workflow approval request at the same time.Which approval sequence will you implement in Bank Account Management?
Which product types are part of the Money Market submodule?Note: There are 3 correct answers to this question.
Which activity categories can you configure to initiate the deal release workflow for a money market transaction?Note: There are 3 correct answers to this question.