Produktbild: Treasury and Risk Management with SAP S/4HANA

Treasury and Risk Management with SAP S/4HANA The Comprehensive Guide

Aus der Reihe SAP Press Englisch

119,95 €

inkl. gesetzl. MwSt., Versandkostenfrei


Beschreibung

Produktdetails

Einband

Gebundene Ausgabe

Erscheinungsdatum

06.02.2025

Verlag

Rheinwerk Publishing

Seitenzahl

820

Maße (L/B/H)

25,9/18,4/4 cm

Gewicht

1544 g

Farbe

Schwarz / Mint

Auflage

1

Sprache

Englisch

ISBN

978-1-4932-2610-8

Beschreibung

Produktdetails

Einband

Gebundene Ausgabe

Erscheinungsdatum

06.02.2025

Verlag

Rheinwerk Publishing

Seitenzahl

820

Maße (L/B/H)

25,9/18,4/4 cm

Gewicht

1544 g

Farbe

Schwarz / Mint

Auflage

1

Sprache

Englisch

ISBN

978-1-4932-2610-8

Herstelleradresse

Rheinwerk Verlag GmbH
Rheinwerkallee 4
53227 Bonn
DE

Email: Info@rheinwerk-verlag.de

Noch keine Bewertungen vorhanden

Verfassen Sie die erste Bewertung zu diesem Artikel

Helfen Sie anderen Kundinnen und Kunden durch Ihre Meinung.

Kundinnen und Kunden meinen

Bewertungen (0)

  • Produktbild: Treasury and Risk Management with SAP S/4HANA

  • ... Preface ... 19






    ... Objective of the Book ... 19






    ... Content and Structure of the Book ... 20






    ... Acknowledgements ... 23






    1 ... Introduction to Treasury and Risk Management with SAP ... 25






    1.1 ... Changes in Technology and the Evolving Corporate Treasury Function ... 26






    1.2 ... Treasury and Risk Management with SAP ... 27






    1.3 ... SAP Fiori User Experience ... 32






    1.4 ... Supported Treasury Contracts ... 46






    1.5 ... Summary ... 51






    2 ... Master Data ... 53






    2.1 ... Company Code ... 54






    2.2 ... Bank Master ... 55






    2.3 ... House Bank ... 57






    2.4 ... House Bank Account/Account ID ... 59






    2.5 ... Business Partners ... 60






    2.6 ... Derivative Contract Specification ... 74






    2.7 ... Calendars ... 84






    2.8 ... Traders ... 86






    2.9 ... Market Data ... 89






    2.10 ... Market Data Interfaces ... 99






    2.11 ... Summary ... 102






    3 ... Core Configuration Elements ... 103






    3.1 ... Company Code Additional Data ... 104






    3.2 ... Accounting Codes ... 106






    3.3 ... Valuation Areas ... 107






    3.4 ... Valuation Class ... 108






    3.5 ... General Valuation Class ... 109






    3.6 ... Position Management Procedure ... 113






    3.7 ... User Data ... 131






    3.8 ... Product Categories ... 134






    3.9 ... Product Types ... 141






    3.10 ... Number Ranges ... 145






    3.11 ... Transaction Types ... 146






    3.12 ... Field Selection ... 148






    3.13 ... Flow Types ... 151






    3.14 ... Update Types ... 156






    3.15 ... Condition Types ... 161






    3.16 ... Accruals and Deferrals ... 165






    3.17 ... Portfolios ... 170






    3.18 ... Administration Fields ... 171






    3.19 ... Workflow ... 172






    3.20 ... Account Symbols ... 176






    3.21 ... Posting Specifications ... 178






    3.22 ... Account Assignment Reference ... 184






    3.23 ... Position Transfers ... 194






    3.24 ... Summary ... 199






    4 ... Contract-Specific Configuration ... 201






    4.1 ... Debt and Investments ... 201






    4.2 ... Foreign Exchange ... 256






    4.3 ... Securities ... 275






    4.4 ... Derivatives ... 293






    4.5 ... Commodity Derivatives ... 305






    4.6 ... Summary ... 319






    5 ... General Contract Processes ... 321






    5.1 ... Create Financial Transaction App ... 321






    5.2 ... Contract Settlement ... 342






    5.3 ... Transaction Posting ... 344






    5.4 ... Payment Processing ... 364






    5.5 ... Summary ... 368






    6 ... Treasury Management?Specific Processes ... 369






    6.1 ... Debt and Investments ... 369






    6.2 ... Facilities ... 390






    6.3 ... Intercompany Loans ... 402






    6.4 ... Securities ... 415






    6.5 ... Foreign Exchange ... 438






    6.6 ... Interest Rate Swaps ... 459






    6.7 ... Trade Finance ... 468






    6.8 ... Commodity Contracts ... 476






    6.9 ... Summary ... 484






    7 ... Exposure Management ... 485






    7.1 ... Raw Exposures ... 486






    7.2 ... Raw Exposures Apps ... 491






    7.3 ... Releasing Raw Exposures ... 495






    7.4 ... Exposure Configuration ... 497






    7.5 ... Summary ... 514






    8 ... Cash Flow Hedging ... 515






    8.1 ... Hedge Management Configuration ... 517






    8.2 ... Hedge Accounting for Positions Configuration ... 523






    8.3 ... Hedging Area ... 541






    8.4 ... Cash Flow Hedging Process ... 558






    8.5 ... Period End Closing ... 591






    8.6 ... Contract Close ... 594






    8.7 ... Summary ... 597






    9 ... Balance Sheet Hedging ... 599






    9.1 ... Reviewing Balance Sheet Risk ... 600






    9.2 ... Taking a Foreign Exchange Snapshot for Balance Sheet Risk ... 602






    9.3 ... Balance Sheet Risk Overview Reporting ... 608






    9.4 ... Processing Hedge Requests ... 609






    9.5 ... SAP Trading Platform Integration ... 613






    9.6 ... Master Data Setup ... 636






    9.7 ... Summary ... 645






    10 ... Correspondence ... 647






    10.1 ... Configuration ... 648






    10.2 ... Inbound and Outbound Process Settings ... 663






    10.3 ... Additional Correspondence Settings ... 667






    10.4 ... Correspondence Mapping Rules ... 671






    10.5 ... Outbound Messaging ... 683






    10.6 ... Inbound Messaging ... 687






    10.7 ... Correspondence Matching ... 690






    10.8 ... Display Correspondence ... 693






    10.9 ... Alerts ... 699






    10.10 ... Summary ... 703






    11 ... SAP Treasury Analyzers ... 705






    11.1 ... Credit Risk Analyzer ... 705






    11.2 ... Market Risk Analyzer ... 724






    11.3 ... Summary ... 741






    12 ... Integration with Other Areas ... 743






    12.1 ... Cash Management ... 744






    12.2 ... Accounting ... 752






    12.3 ... Payments ... 753






    12.4 ... In-House Cash and In-House Banking ... 759






    12.5 ... Summary ... 761






    13 ... Reports, Key Performance Indicators, and Alerts ... 763






    13.1 ... Standard SAP Fiori Reports ... 763






    13.2 ... SAP Fiori Analysis Reports ... 782






    13.3 ... SAP GUI Reports ... 794






    13.4 ... Summary ... 803






    ... Conclusion ... 805






    ... The Evolution and Importance of Treasury and Risk Management ... 805






    ... Addressing Common Scenarios and Challenges ... 805






    ... Practical Applications and the User Experience ... 806






    ... Integration ... 806






    ... Looking Ahead ... 807






    ... Final Thoughts ... 807






    ... The Authors ... 809






    ... Index ... 811