COURSE OBJECTIVES
This course provides the mandatory foundation knowledge required in order to understand and run business processes for the SAP Treasury and Risk Management. This includes both the area of trading and the area of analysis. This course is the essential prerequisite for the follow-on training on system configuration.
This course will prepare participants to:
- Use the core processes in SAP Treasury and Risk Management (Transaction Manager, Market Risk Analyzer, and Credit Risk Analyzer)
Price per Person: Click Here
TARGET AUDIENCE
- Project managers
- System Architects
- Project team members
- Application Consultants
- Support Consultants
- Treasurers
- End Users
Software Release Information and Notes
Course based on software release
- SAP ERP Central Component 6.0 Enhancement Package 7
Course Outline
- Description of the core treasury processes for money market, foreign exchange, derivatives, commodities and securities
- End to end treasury process, including integration with other SAP modules (e.g. FI, CM, BCM, IHC)
- Risk management processes (Market Risk Analyzer, Credit Risk Analyzer, Portfolio Analyzer, Hedge Management, Exposure Management)
- Business partners and standing instructions
- Transaction Manager: instruments available for money market, foreign exchange, derivatives, commodities and securities
- Structure of the financial instruments
- Processes for the front, middle and back office
- Correspondence process
- Parallel accounting and valuation in Treasury (multiple GAAPs)
- Master data management (e.g. creation of securities master data)
- Market Data Management (e.g. yield curves, FX rates, security rates, volatilities)
- Market Risk Analyzer with analysis, value at risk and results database
- Credit Risk Analyzer with exposure calculation and limit management
- Standard treasury reporting
- The course contains system hands on exercises which cover all major learning steps!