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SAP C_S4FTR_2023 - SAP Certified Associate - SAP S/4HANA Cloud Private Edition, Treasury

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Total 80 questions

Your company experiences low automatic reconciliation for incoming payments. You therefore decide to use machine learning to improve the clearing automation.What do you use to support this kind of functionality?

A.

SAP digital payments add-on

B.

SAP S/4HANA Cloud for advanced payment management

C.

SAP Cash Application

D.

SAP Multi-Bank Connectivity

What does the Manage Banks SAP Fiori app allow you to do?Note: There are 2 correct answers to this question.

A.

Create, edit, and delete bank accounts and house bank accounts.

B.

Navigate to other SAP Fiori apps, such as Manage Bank Statements and Cash Flow Analyzer.

C.

Define bank risk partners for the banks.

D.

Associate house banks, contact persons, and business partners with your banks.

You are preparing scenarios in Market Risk Analyzer for testing purposes.Which market data can you use to create scenarios?Note: There are 2 correct answers to this question.

A.

Security prices

B.

Yield curves

C.

Correlations

D.

Default rates

Your company is using SAP Bank Communication Management.Which parameter determines if payments in the payment run are routed through SAP Bank Communication Management?

A.

Payment medium format

B.

Paying company code

C.

Payment run identification

D.

Payment method

Which of the following are ways to get data to SAP Analytics Cloud?Note: There are 2 correct answers to this question.

A.

Live connection

B.

Data Transfer Workbench

C.

Replication

D.

Data migration

You are working with security transactions.The position is the basis for which of the following?

A.

Valuation flows

B.

Correspondence

C.

Settlement of the trade

D.

Posting of a trade's purchase cash flows

You want to use the SOFR risk-free rate (RFR).For which product categories can parallel interest conditions be activated?Note: There are 2 correct answers to this question.

A.

600 - FX Transaction

B.

040 - Bonds

C.

540 - Cash Flow Transaction

D.

550 - Interest Rate Instrument

You are using Credit Risk Analyzer.At what point is the single transaction check executed for a money market trade?Note: There are 2 correct answers to this question.

A.

When the limit utilization analysis is executed

B.

When the trade is saved

C.

When settling the trade

D.

When the check icon is clicked

Which G/L account type must be set when working with the bank reconciliation ledger?

A.

Cash account

B.

Balance sheet account

C.

Bank sub account

D.

Bank reconciliation account

Which of the following must be configured to use Liquidity Planning?Note: There are 2 correct answers to this question.

A.

SAP Liquidity Planner

B.

SAP Cloud Connector

C.

SAP S/4HANA on premise

D.

SAP Cash Application