Registreer nu

Log in

vergeten wachtwoord

Wachtwoord vergeten? Vul alstublieft uw e-mail adres in. U ontvangt een link ontvangen en zal een nieuw wachtwoord via e-mail te creëren.

bericht toevoegen

Je moet inloggen om bericht toe te voegen .

question

U moet inloggen om een ​​vraag te stellen.

Log in

Registreer nu

Welkom bij Scholarsark.com! Uw inschrijving krijgt u toegang te verlenen tot het gebruik van meer kenmerken van dit platform. U kunt vragen stellen, maken bijdragen of antwoorden bieden, bekijk profielen van andere gebruikers en nog veel meer. Registreer nu!

SAP FSCM TRM Cash- en liquiditeitsbeheer

SAP FSCM TRM Cash- en liquiditeitsbeheer

Prijs: $19.99

SAP Cash and Liquidity Management is a sub-component of SAP Financial Supply Chain Management.

For information about its functions and possible uses, zien:

SAP Cash Management

SAP Liquidity Planner

SAP Cash Management is used to monitor cash flows and to ensure that you have sufficient liquidity to cover your payment obligations.

Integration

SAP Cash Management is a sub-component of SAP Financial Supply Chain Management.

SAP Cash Management is integrated with a range of other SAP components. Bijvoorbeeld, the liquidity forecastin a medium to long term liquidity trendintegrates expected incoming and outgoing payments in financial accounting, purchase and sales.

SAP Liquidity Planner

Doel

In an age of global competition and value-oriented management strategies, financial planning plays an increasingly important role in the management of a company. The key aim is to recognize liquidity deficits or surpluses in time and to identify expected foreign currency positions in the planning period. Recording planning data on a timely basis and adapting it as soon as circumstances change, as well as decentralized processes for capturing data all contribute to the challenges facing financial planning activities that aim to indicate future trends.

The Liquidity Planner provides tools for entering and adjusting, aggregating and evaluating planned cash flows, and for determining actual values. Easy-to-use tools provide the decision-makers with all the information they need, as and when it is available. With this information, they have a clearer picture of the financial situation and can optimize the use of their financial resources. You can therefore use the Liquidity Planner to extend your planning horizon and have a greater active influence on the expected cash flows. This ranges from the classical use of financial budgeting values through to their inclusion in more detailed risk analyses.

Auteur

Wat betreft arkadmin

Laat een antwoord achter