General Settings:
- Define Company Code Additional Data
- Define Portfolio (Money Market, Foreign Exchange, Derivatives, Commodities, and Securities)
- Define Traders (Business Partners)
- Assign Factory Calendar
- Define and Assign Accounting Codes and Valuation Areas
- Initialization of Parallel Valuation Areas
- Define and Assign Valuation Classes
- Define Account Determination for Money Market/Foreign Exchange
Money Market / Foreign Exchange:
- Define Product Types
- Define Number Range for Transaction Types
- Define Flow Types
- Assign Flow Type to Transaction Type
- Define Calculation Procedure for Derived Flows
- Define Derivation Procedures and Rules
- Define Update Types and Assign Usages
- Assign Flow Types to Update Types
- Define Correspondence Activities
- Assign General Valuation Class
- Rollover, Mirror Transaction, and Mass Settlement
Foreign Exchange:
- Define Product Types
- Define Number Range for Transaction Types
- Define Flow Types
- Assign Flow Type to Transaction Type
- Define Calculation Procedure for Derived Flows
- Define Derivation Procedures and Rules
- Define Update Types and Assign Usages
- Assign Flow Types to Update Types
- Assign General Valuation Class
- Netting, and Prematurity
Hedge Management:
- Hedge Plan
- Hedge Exposure
- Hedge Item ID
- Hedge Relationship
Securities:
- Define Currency Units
- Define Number Range for Security Classes
- Securities Class Master
- Securities Accounts Management
- Define Product Type, Condition Type, Transaction Type, Flow Type, and Update Type
- Define Company Code-Dependent Settings for the Product Type
- Assign Flow Type to Transaction Type
- Define Calculation Procedure for Derived Flows
- Debit Position, Manual Posting, Debit Position Generation
- Security Account Transfer
Derivatives:
- OTC Interest Derivatives (CAP, Floor, Interest Rate Swap, and Forward Interest Rate)
- OTC Option (Currency Option)
- Listed Financial Derivatives and Listed Non-Financial Derivatives (Theory)
- Product Type, Transaction Type, Flow Type, and Update Type
BCM (Bank Communication Management):
- Basic Settings for Approval (Rule ID)
- Payment Group – Rule Maintenance
- Create Payment Method
- Payment Medium Format
- Assign Roles to Release Steps (Fetch Approver from Table T9TRAUTH) 1st Approver
- Define Release Procedure (For this Object BNK_COM – Decided Two-Step Approval)
- Assign Roles to Release Steps (Fetch Approver from Table T9TRAUTH) 2nd Approver
- Specify Signature Method for Approval
- Define Alert Categories – Payout
- Define Alert Categories – Timeout
- Timeout for Batch Status Update
- Assign Alert Recipients
- Map External Status to Internal Status
Risk Analyzer:
- Market Risk Analysis
- Credit Risk Analysis
- Market Data Management
Cash and Liquidity Management:
- FI Integration
- Transactions and Reports
Trailevate Solution’s Treasury & Risk Management training provides you with an in-depth understanding of how to handle financial operations and ensure effective risk management, making your organization more efficient and financially secure.
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