Customizing in SAP Treasury & SAP Risk Management (FSC110)

      Quantity

      $2,995.00

      New Age Technologies has been delivering Authorized Training since 1996. We offer SAP’s full suite of authorized courses including courses pertaining to SAP Risk Management, Supply Chain Management (SCM), Enterprise Resource Planning (ERP), BusinessObjects, Product Lifecycle Management (PLM), and more. If you have any questions or can’t seem to find the SAP class that you are interested in, contact one of our SAP Training Specialists. Invest in your future today with SAP training from New Age Technologies.

      SAP Training Specialists | ☏ 502.909.0819

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      Customizing in SAP Treasury & SAP Risk Management (FSC110) Course Overview:

      The Customizing in SAP Treasury & SAP Risk Management (FSC110) course provides the mandatory foundation knowledge required in order to understand and change the system configuration of the SAP Treasury and Risk Management. This includes both the area of trading and the area of analysis. This course is the follow-on training to the SAP Treasury and Risk Management business processes training (FSC010).

      Note: Course based on software release: SAP ERP Central Component 6.0 Enhancement Package 7

      Who Should Attend:

      • Project leaders
      • Project team members
      • Consultants
      • Treasurers

      Customizing in SAP Treasury & SAP Risk Management (FSC110) Course Prerequisites:

      Before attending this course, you must have the following:

      Customizing in SAP Treasury & SAP Risk Management (FSC110) Course Goals:

      • Understand the configuration of Transaction Manager, Market Data Management, Market Risk Analyzer, Credit Risk Analyzer and Portfolio Analyzer.

      Customizing in SAP Treasury & SAP Risk Management (FSC110) Course Content:

      • End to end treasury process, including integration with other SAP modules (e.g. FI, CM, BCM, IHC)
      • General settings in Transaction Manager
      • Customizing money market, foreign exchange, derivatives, commodities and securities
      • Setup of deal release and business partner workflow
      • Correspondence process and customizing of correspondence tool
      • Customizing multi GAAP accounting and valuation
      • Set-up cash management integration
      • Customizing of the treasury payment program F111
      • Relationship between customizing and application
      • Customizing master data management (e.g. securities master data) Customizing market data management (e.g. yield curves, FX rates, volatility types)
      • Specification of Basic Analyzer settings (e.g. analysis structure)
      • Setup of Market Risk Analyzer, e.g. value at risk, results data base
      • Setup of Credit Risk Analyzer settings e.g. limit structure, determination procedures
      • Overview Portfolio Analyzer

      Average Salary for Skill: SAP Enterprise Resource Planning (ERP)

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