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

Question # 4

Which of the following market data types can you import into the system?Note: There are 3 correct answers to this question.

A.

Discount factors

B.

Forex swap rates

C.

Security prices

D.

Credit spreads

E.

Net present values

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Question # 5

Which types of payments can be processed with the Automatic Payment Transactions for Payment Requests app?Note: There are 2 correct answers to this question.

A.

Mobile payments

B.

In-house cash payments

C.

Payroll payments

D.

Freeform payments

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Question # 6

Which source applications use origin X when defining queries and query sequences?Note: There are 2 correct answers to this question.

A.

General Ledger Accounting (FI-GL)

B.

Contracts Accounts (FI-CA)

C.

Treasury and Risk Management (TRM)

D.

Accounts Receivable (FI-AR)

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Question # 7

You are configuring Market Risk Analyzer.What do derivation strategies derive?

A.

The key figures to be stored in the results database

B.

The product types to be used for financial object integration

C.

The analysis structure characteristic values based on the trade

D.

The market data to be used when executing a Monte Carlo simulation

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Question # 8

In which SAP Fiori app can you maintain the minimum transfer amount for the cash pools?

A.

Manage Bank Accounts

B.

Cash Pool Transfer Report

C.

Manage Cash Pools

D.

Manage Cash Concentration

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Question # 9

You want to automatically allocate funds from the global headquarters level down to the lower level subsidiaries.How can you perform this task in your planning sheet on SAP Analytics Cloud?

A.

Distributing funds

B.

Spreading funds

C.

Deriving funds

D.

Allocating funds

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Question # 10

You are configuring Credit Risk Analyzer.What must you do to activate the single transaction check functionality?Note: There are 3 correct answers to this question.

A.

Schedule the utilization reports.

B.

Configure the automatic financial object integration.

C.

Activate the integrated default risk limit check.

D.

Enable end-of-day processing of the Credit Risk Analyzer.

E.

Define at least one single-transaction-check product.

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Question # 11

What are some factors to consider when creating a house bank for your company code?Note: There are 2 correct answers to this question.

A.

Each company code can have only one house bank.

B.

The house bank name can be freely defined.

C.

A bank can only be defined once as a house bank.

D.

Every account at a house bank is represented by an account ID.

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Question # 12

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

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Question # 13

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

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Question # 14

You want to use the basic cash management capability in SAP S/4HANA.Which functional features are provided with this setup?Note: There are 3 correct answers to this question.

A.

Manage memo records

B.

Payment advice reconciliation

C.

Monitor cash position

D.

Manage liquidity items

E.

Manage workflows

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Question # 15

You are interested in the total number and amount of incoming and outgoing payments at your house bank in the last 60 days.Which SAP Fiori app would you use to monitor this kind of information?

A.

Bank Relationship Overview

B.

Track Bank Transfers

C.

Cash Flow Analyzer

D.

Manage Bank Payments

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Question # 16

You are building a planning model in SAP Analytics Cloud.Which settings do you need to specify for currency conversion?Note: There are 2 correct answers to this question.

A.

Currency unit

B.

Default currency

C.

Parallel currencies

D.

Currency dimension

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Question # 17

Where are the monitoring rules for the intraday bank statements assigned?Note: There are 2 correct answers to this question.

A.

Manage Banks app

B.

Manage Bank Accounts app

C.

Define Monitoring Rules - Intraday Statements app

D.

Configuration of Bank Statements

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Question # 18

You are in the process of replacing LIBOR with one of the risk-free rates (RFRs).What are the new interest calculation types with the parallel interest conditions?Note: There are 2 correct answers to this question.

A.

Lookback interest calculation

B.

Average compound interest calculation

C.

Compound interest calculation

D.

Floating rate calculation

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Question # 19

Which elements control account determination for Transaction Manager deals?Note: There are 3 correct answers to this question.

A.

Valuation area

B.

Update type

C.

Condition type

D.

Portfolio

E.

Account assignment reference

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Question # 20

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.

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Question # 21

Which of the following key figures are included in the Hedge Management Cockpit?Note: There are 3 correct answers to this question.

A.

Hedge quota

B.

Designation types

C.

Hedging profile

D.

Target quota

E.

Amount to hedge

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Question # 22

You are configuring the correspondence settings for a business partner group.Which settings can you select?Note: There are 2 correct answers to this question.

A.

Counter confirmation required

B.

Automatic correspondence

C.

Contract settlement required

D.

Dual control required

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Question # 23

You are implementing Market Risk Analyzer and need to enable specific evaluation type settings via product type.What must you use?

A.

Valuation rules

B.

Valuation areas

C.

Valuation procedures

D.

Valuation classes

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Question # 24

What are the available options when you configure the bank account revision process?Note: There are 3 correct answers to this question.

A.

Activate sequentially

B.

Activate via workflow

C.

Activate via two-factor authorization

D.

Activate directly

E.

Activate via dual control

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