SAP Treasury & Risk Management Online TRAINING Bangalore, INDIA :
Course duration: 30 hours
Course Fees – 18K
Mode of Training- Online
Training Time – 8 AM-9.30 AM, 8.30 PM – 10 PM or Weekend batch
Benefits of Training :- Configuration document, Recording session after the class.
All type of study material, SAP book,Real time tickets and solution. Post training support,
24/7 Server access preparation
Trainer Detail:-
Presently working as SAP Treasury consultant in a US based MNC
4+ years experience in SAP treasury & 3 years in Treasury domain
Course Based on Software Release
SAP ERP Central Component 7.0 (ECC), EhP4
Audience
This course is aimed at
1.project team members
- Solution Consultants that are responsible for Treasury & Risk Management.
3.Investment Banking profession, want to switch carrier to SAP Treasury
4.Back office/Mid office BPO/KPO associates
Treasury & Risk Management Introduction
- Basic Settings
- Company Code and Required setting till GL Accounts Creation
- Business Partners Creation
General Settings in Transaction Manager
- General settings
- Define Company Code additional data
- Define Portfolio
- 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
Business Partner :-
- Use of business partner
- .Define Grouping and Creation of Number range
- . Assign number range to grouping
- Use of Different business role and when to assign business role to business partner
- Creation of business partner
- Provide Standing instruction to business partner
- Maintain bank details
- Mass data synchronization
Money Market ( Fixed Term Deposit, Commercial paper, Interest rate Instrument, Deposit at notice, Facility)
- 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
- Position management Procedure
- Accrual calculation for Interest
- Account Determination
- Facility Utilization
- Linking of other product type to facility
- Maintain LIBOR/MIBOR rate for Interest rate instrument
- Automatic and manual adjustment of cash flow before posting.
- Overview of Treasury Report
Foreign Exchange (SPOT,Forward)
Define Product Types
Define Number range for Transaction Types
Define Flow Types • Assign Flow Type to Transaction Type
Define Update Types and Assign Usages
Assign Flow Types to Update Types
Define Correspondence Activities
Define Currency Units
Assign General Valuation Class
.Cash settlement and realized gain and loss calculation
Deal creation, premature settlement, rollover of transaction
Derivative :- ( Interest rate swap, cross currency swap)
Define Product Types
Define Number range for Transaction Types
Define Derivation Procedures and Rules
Define Update Types and Assign Usages
Assign Flow Types to Update Types
.Setting of Notional Amount
.Reference rate maintain
Account determination
Valuation of Derivative
Securities:- (Mutual fund,stock,Bond,Repo)
Define Number Range for Security Classes
Define Company Code-Dependent Settings for the Product Type
Assign Flow Type to Transaction Type
Define Derivation Procedures and Rules
Market Data Management
Maintain Exchange, Price type,Condition type
Security account category
Securities and Indexes
Manual & automatic Interest Posting of Bond
Amortization calculation of Bond
Corporate Actions of stock
Assign update type for valuation
Key date valuation
Calculation of Realized gain and loss of stock
Security Impairment
Cash Management :-
Memo creation
Creation of Planning level and planning type
Assignment of planning level.
Create grouping and structure in the grouping
Calculation on liquidity forecasting
Preparation of Cash and position management management.
Bank to Bank transfer using repetitive code
Release of repetitive code
Creation of Payment request
F111 payment run.