Unlocking Global Visibility: Overcoming Cash and Treasury Challenges and Embracing Solutions

474 results

  1. Lessons Learned from the First Customer Implementation of SAP Cash Management Powered by SAP HANA

    With the numerous changes involved in an SAP HANA implementation, a detailed explanation is required to have a good understanding of what has changed from doing an implementation strictly in SAP ERP Central Component (ECC). Learn the different components and various deployment options for running SAP Cash Management on SAP HANA. This article includes details…...…
  2. How Implementing SAP Cash Management Helps in Monitoring Your Working Capital

    Learn how to connect the basic SAP order-to-cash and purchase-to-pay cycles in SAP Cash Management to manage your organization’s working capital. This working capital is further efficiently used by connecting SAP Treasury and Risk Management and SAP In-House Cash to SAP Cash Management. Key Concept SAP Cash Management is a sub-component of SAP Financial Supply…...…
  3. Adoption Methods for SAP S/4HANA Finance for Cash Management

    Various organizations have started their assessment journeys to embrace SAP S/4HANA and are curious to know the options for implementing various functionalities. Cash management is one such area. In recent SAP S/4HANA Finance versions SAP has made classical cash management obsolete and has come up with new functionality called SAP S/4HANA Finance for cash management…....…
  4. Reap Benefits from One of SAP’s Hidden Treasures: Liquidity Planner Actuals Determination

    Learn how SAP’s Liquidity Planner module for actuals determination works. Discover the advantages and uses of the module. Key Concept SAP’s Liquidity Planner module for actuals answers questions such as how much cash came in related to customer receipts this week or how much was spent on payroll this month. Having quick, up-to-date access to…...…
  5. Set Up a Cash Journal to Enhance Your Internal Controls

    See how to set up a cash journal and how to use it to record cash transactions and monitor your cash position. Key Concept Many companies have a petty cash account for small cash payments and receipts. To integrate petty cash with the SAP R/3 system, SAP developed the cash journal. The cash journal enables…...…
  6. Streamline Liquidity Forecasting by Integrating Real Estate Cash Flows with Enhancement Package 2

    Learn how to integrate liquidity forecasting with real estate cash flow. Key Concept With enhancement package 2, SAP has streamlined the liquidity forecasting tool by incorporating cash flows generating from real estate contract conditions. This brings more visibility and accuracy to liquidity forecast under Cash Management enabling businesses to make accurate investment decisions. SAP Cash…...…
  7. Leveraging SAP S/4HANA Cash Management

    Recent economic uncertainty and struggles with several major banks has made many organizations rethink their cash management strategies. The standard process for managing cash positions can be inefficient and inaccurate. In this article, SAPinsider expert Luke Carlson starts a four-part series will provide an overview of the SAP S/4HANA Cash Management solution and typical business…
  8. Setting the Foundation of Finance Transformation with SAP Cash Management

    A recent CFO Magazine study showed that many CFOs are looking to harmonize their banking relationships, standardize and speed up payments, and get real data driven insights on cash forecasting – all integrated to their ERP. In this session, we will share trends from customer projects and workshops and talk about specific ways companies are…
  9. Bring Cash Forecasting into FI – You Can Do It in a Day

    Many sites do not initially implement the cash forecasting capability of Treasury’s Cash Management module. Configuring it retroactively is easy to do and requires little knowledge of the Treasury module.   The cash-forecast functionality within Treasury’s Cash Management module provides the ability to track potential cash all along the pipeline from sale to order fulfillment…...…
  10. Generate Your Cash Flow Report Automatically Using SAP ECC and SAP BusinessObjects Planning and Consolidation

    The cash flow and shareholders’ equity reports are two of the most challenging reports in any legal consolidation project. Generating them on a monthly basis is even more difficult if the right configuration or design is not in place. Follow a real-world procedure used to generate and calculate the statement of cash flows and shareholders’…...…