تفاصيل الدورة
Day OneTreasury & Risk Management Introduction· Basic Settings
· Company Code and Required setting till GL Accounts Creation
· Customer Master Data
· Business Partners Creation
General Settings in Transaction Manager· General settings
· Define Company Code additional data
· Portfolio (Money Market, Foreign Exchange, Derivatives,
Commodities and Securities)· Define Traders (Business Partners)
·&
… + المزيد تفاصيل الدورة
Day OneTreasury & Risk Management Introduction· Basic Settings
· Company Code and Required setting till GL Accounts Creation
· Customer Master Data
· Business Partners Creation
General Settings in Transaction Manager· General settings
· Define Company Code additional data
· Portfolio (Money Market, Foreign Exchange, Derivatives,
Commodities and Securities)· Define Traders (Business Partners)
· Assign Factory Calendar
· Define and Assign Accounting codes and Valuation areas
· Initialization of Parallel Valuation Areas
· Define and Assign Valuation Classes
· Define Account Determination
Day TwoMoney Market / Foreign Exchange· Define Product Types
· Define Number range for Transaction Types
· Define Flow Types
· Assign Flow Type to Transaction Type
· Define Calculation Procedure for Derived Flows
· Define Derivation Procedures and Rules
· Define Update Types and Assign Usages
· Assign Flow Types to Update Types
· Define Correspondence Activities
· Assign General Valuation Class
Securities· Define Currency Units
· Define Number Range for Security Classes
· Define Company Code-Dependent Settings for the Product Type
· Assign Flow Type to Transaction Type
· Define Calculation Procedure for Derived Flows
· Define Derivation Procedures and Rules
Market Data Management· Currency Exchange Entries
· Reference Interest Rate Entries
· Securities and Indexes
· Enter Commodities Spot Prices
· Credit Spreads for Transactions, Securities and Loans,
· Volatilities - Interest, Securities, Exchange
Day FourCredit Risk Analyzer (under SAP Risk Management)· Global Settings
· Define Collateral Priority
· Define Collateral Type
· Activate/Deactivate Financial Object Integration
· Derive Default Risk Control Parameters for Money Market transactions
· Activate Integrated Default Risk Limit Check
Market Risk Analyzer (under SAP Risk Management)· Basic Settings
· Define Maturity Band
· Define Cash Flow Indicators& Cash Flow Types
· Value at Risk
· Key Figures and Evaluation Procedures
· Simulation
تحديث بتاريخ 16 May, 2024 - أقل