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SAP Cash Management powered by SAP HANA
2.0 SPS00
Liquidity Management: Functions and Features
March, 2015
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 2CustomerEarly Knowledge Transfer
At the end of this lesson, you will be able to:
 Understand the business context of Liquidity Management
 Understand the detailed feature of Liquidity Management
Learning Objectives
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 3CustomerEarly Knowledge Transfer
Agenda
1
2
Business Context
Explanation of Functionality
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 4CustomerEarly Knowledge Transfer
Agenda
1
2
Business Context
Explanation of Functionality
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 5CustomerEarly Knowledge Transfer
Business Context
Cash Managers and CFOs put the focus on the overall solvency of a
company. Forecasts of the amount and timing of actual cash flows are of the
highest importance.
So that Cash Managers and CFOs can:
•Get timely, congruent and objective liquidity plan
•Use liquidity planning as an early warning indicator of liquidity shortages or as a steering tool
for medium- and long-term investment or borrowing.
•Track and trace liquidity planning cycle
•Analyse variance to improve plan
•Check predictive liquidity forecast data
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 6CustomerEarly Knowledge Transfer
Agenda
1 Business Context
Explanation of Functionality
Develop Liquidity Plans
Liquidity Plans
Liquidity Forecast
Cash Flow
2
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 7CustomerEarly Knowledge Transfer
Explanation of Functionality
Flow Diagram
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 8CustomerEarly Knowledge Transfer
Explanation of Functionality
Develop Liquidity Plans
 Trigger a new planning cycle for a monthly rolling liquidity plan
 Get reference data as planning reference. The reference sources
can be:
• Liquidity Forecast
• Previous Cycle Plan
• Last Year Actual
 Auto-fill with reference or planning data
 Plan hedging of operating activities
 Enter or adjust the planning data in planning currencies based on
the reference data and submit
 Review planning data by planning currency or aggregation
currency and approve or reject liquidity plans
 Track the planning status of subsidiaries by planning unit
hierarchy
 Make use of BPC to support process management
With the app Develop Liquidity Plans, the group cash manager can
regularly trigger a new planning cycle for a liquidity plan. Subsidiary
cash managers then enter the liquidity plans for the relevant
planning period and submit the plan to the group cash manager for
approval. The timely and precise estimates of future balance and
operative cash inflow and outflow allow subsidiary cash managers to
ensure that payment obligations can be met and support group cash
managers making investment or financing plans. The entire process
management is powered by BPC.
Business/Process Context
Features and Capabilities
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 9CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Home
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 10CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Group Cash Manager – Start New Planning Cycle
Group Cash Manager starts
a new planning cycle and
notify the responsible
persons of target
subsidiaries to submit
liquidity plans.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 11CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Subsidiary Cash Manager – Get email notification
Once a new planning cycle is triggered,
Subsidiaries Cash Manager receives an
email notification about the planning
cycle and activities to be performed.
Subsidiaries Cash Manager can also
open the activity from the ‘Develop
Liquidity Plans - Enter Liquidity Plan’ tile.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 12CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Subsidiary Cash Manager – Enter Plan Data
Planning data entry layout.
Only for leaf-level planning unit, planning data can be entered
directly. For non-leaf-level planning unit, the planning data from
its child planning units will be aggregated and is read-only.
For example:
Planning unit hierarchy of Group is as below.
- Group (non-leaf-level)
- China Company (leaf-level)
- Germany Company (leaf-level)
The planners of China Company and Germany Company enter planning data
100 EUR and 200 EUR respectively for their own planning unit. When the planner
from Group go to Group’s data entry page, he/she can see the aggregated
planning data as 300 EUR but cannot enter planning data.
Planning unit is an organizational unit that needs to enter liquidity
plan data. A planning unit can be a company code.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 13CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Subsidiary Cash Manager – Get Reference Data for Planning
Subsidiary Cash Manager can get
reference data of selected data source
for the 12 months involved in planning.
Subsidiary Cash Manager can select multiple
reference sources. The selected reference
sources will be displayed on the column of
the planning data entry page.
The reference sources can be Liquidity
Forecast, Previous Cycle Plan, Last Year
Actual.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 14CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Subsidiary Cash Manager – Auto-fill with Reference Data
After getting the reference data, Subsidiary Cash Manager can
auto-fill planning data with reference data based on a certain
factor if he/she finds the reference data is reliable to some
degree, which makes the planning job much easier than before.
Both positive and negative percentage are allowed here.
For example:
Reference data from Previous Cycle Plan is 1000 EUR.
Case A - Delta percentage: 5 %
Case B - Delta percentage: -5 %
Planning Value auto-filled in case A is 1050 EUR.
Planning Value auto-filled in case B is 950 EUR.
Note that the forecasted opening balance for the first month is
copied to related planning cell regardless of the factor.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 15CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Subsidiary Cash Manager – Auto-fill with Planning Data
Once Subsidiary Cash Manager
entered the plan data for a month,
he/she can select the plan column and
copy it to the plan column of the
following months.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 16CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Subsidiary Cash Manager – Plan Hedging of Operating Process
If subsidiary has foreign currency deficit or surplus,
Subsidiary Cash Manager can plan hedging with
headquarter.
Example:
France company has 1000 USD foreign currency
surplus and need hedge with headquarter by
exchanging 1000 USD into 500 EUR. The cash
manager enter a currency conversion plan for this
surplus. 500 EUR which is Amount in Conversion
Currency is calculated automatically on the popup.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 17CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Subsidiary Cash Manager – Plan Hedging of Operating Process
Example:
An outflow 1000 in USD for France company is
filled automatically.
Example:
An inflow 500 in EUR for France company is
filled automatically.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 18CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Subsidiary Cash Manager – Plan Hedging of Operating Process
Example:
The outflow 500 in EUR for headquarter is
filled automatically.
Example:
An inflow 1000 in USD for headquarter
is filled automatically.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 19CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Group Cash Manager – Get the notification
Group Cash Manager receives an email
notification asking him/her to review the
planning submitted by Subsidiary Cash
Manager.
Group Cash Manager can also open the
review activity from the ‘Develop Liquidity
Plans - Review Liquidity Plan’ tile.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 20CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Group Cash Manager – Review Liquidity Plans
Before Group Cash Manager make the decision of accepting or rejecting the plan, he/she can make use of
the functions on the screen to help him review the plans from the subsidiaries.
In dropdown list opened from Reference Data button, Group Cash Manager can:
•Check reference data from different reference source.
In dropdown list opened from Related Links button, Group Cash Manager can:
•Go to aggregation view to review the planning amount aggregated in aggregation currency configured on
the group.
•Go to Liquidity Plans app to check various analysis reports.
•Check plan from previous cycle.
•Check the planning status of the subsidiaries.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 21CustomerEarly Knowledge Transfer
Develop Liquidity Plans
Group Cash Manager – Track Status
Group Cash Manager can also track the planning status by
planning unit hierarchy. When the planning deadline is
approaching, he/she can identify the subsidiaries which haven’t
submitted their plans and contact the responsible subsidiary
cash manager to check what happened.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 22CustomerEarly Knowledge Transfer
Agenda
1 Business Context
Explanation of Functionality
Develop Liquidity Plans
Liquidity Plans
Liquidity Forecast
Cash Flow
2
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 23CustomerEarly Knowledge Transfer
Explanation of Functionality
Liquidity Plans
Features and Capabilities
 Plan – Plan, Plan – Forecast, and Plan – Actual comparison
 Overview suspicious plans
 Drilldown from the Alerts to Liquidity Plans by Planning Currency
or Aggregation Currency
 Liquidity Plans by Planning Currency or Aggregation Currency in
graphic view and table view
 Navigate from Develop Liquidity Plan application to Liquidity
Plans application
 Check Difference Detail by liquidity Item hierarchy in planning
currency or aggregation currency
Cash managers need various reports analyzing the liquidity plans
to help him/her increase the reliability of the liquidity plans.
Typically, the continuous analysis of actual, plan and forecast
data, and alert of the significant difference between current plan
and previous one is essential for cash manager to keep in track on
each planning cycle.
Business/Process Context
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 24CustomerEarly Knowledge Transfer
Liquidity Plans
Home
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 25CustomerEarly Knowledge Transfer
Liquidity Plans
Cash Manager – Overview Suspicious Plans
Alerts the cash manager about the significant
difference between current plan and previous plan.
Cash manager can locate the significant differences
in which liquidity item and planning unit and also can
find responsible person of the planned data.
The data is aggregated in the aggregation currency
configured on the root planning unit.
Cash manager can check the aggregated data
in original planning currency.
Difference between plan and forecast, plan and
actual are also listed on the table.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 26CustomerEarly Knowledge Transfer
Liquidity Plans
Cash Manager – Liquidity Plans by Aggregation or Planning Currency
Liquidity plan by Planning/Aggregation
Currency table view.
In this view, cash manager can know the plan
amount from last 12 planning cycles, actual
data and forecast data on 12 calendar months
involved in planning of selected planning cycle.
Liquidity plan by Planning/Aggregation
Currency graphic view.
On this view, cash manager can
compare selected planning cycle’s plan
amount with previous planning cycle’s,
and with actual transaction data.
Also minimum and maximum plan
amount from last 12 planning cycles is
calculated for each calendar month
involved in the planning of selected
planning cycle.
In the chart, cash manager can get a
clear view for the plan gap, plan trend,
and plan position between minimum
and maximum plan data.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 27CustomerEarly Knowledge Transfer
Liquidity Plans
Cash Manager – Check Difference Details by Aggregation or Planning Currency
When cash manager check the analysis
on graphic view of Liquidity Plan by
Planning / Aggregation Currency screen,
he/she can navigate to Difference Details
by Planning / Aggregation Currency to
check the detailed planning amount by
liquidity item hierarchy in order to locate
suspicious amount belonging to which
liquidity item.
When cash manager checks the Difference
Details by Aggregation Currency , he can
selected a row to check how the planning
amount of selected planning cycle is
aggregated.
In the popup, cash manager can check the
distribution of the total amount by planning
currency and also check the related
exchange rate.
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 28CustomerEarly Knowledge Transfer
Agenda
1 Business Context
Explanation of Functionality
Develop Liquidity Plans
Liquidity Plans
Liquidity Forecast
Cash Flow
2
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 29CustomerEarly Knowledge Transfer
Liquidity Forecast Tile
Liquidity Forecast
 The analytical app displays the Key Performance Indicator (KPI) Liquidity Forecast. With Liquidity Forecast, you can
forecast the liquidity trend for future days.
 BOM Link: https://boma0d717969.hana.ondemand.com/sap/fix/externalViewer/#/detail/Apps('F0512')/W6
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 30CustomerEarly Knowledge Transfer
1. Home Page
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 31CustomerEarly Knowledge Transfer
2 . Drill down (1)
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 32CustomerEarly Knowledge Transfer
3. Drill down (2)
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 33CustomerEarly Knowledge Transfer
4. Filter
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 34CustomerEarly Knowledge Transfer
Agenda
1 Business Context
Explanation of Functionality
Develop Liquidity Plans
Liquidity Plans
Liquidity Forecast
Cash Flow
2
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 35CustomerEarly Knowledge Transfer
Cash Flow Tile
Cash Flow – Detailed Analysis
 With the Cash Flow - Detailed Analysis app, you can get an overview of the daily cash inflows and outflows, and
analyze them for the last weeks or months for all subsidiaries and liquidity items. You can then identify the
extraordinary and abnormal cash flows, ensure that they were accurate and compliant, and that they have taken the
liquidity planning into account. The data presented in the app can be used to give an overview of the cash flow
status to the management.
 Cash inflows and outflows are calculated in remote systems (with the help of the SAP Liquidity Planner) and
transferred periodically into the central Cash Management system
 BOM Link: https://boma0d717969.hana.ondemand.com/sap/fix/externalViewer/#/detail/Apps('F0740')/W7
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 36CustomerEarly Knowledge Transfer
Cash Flow Analysis – Detailed View
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 37CustomerEarly Knowledge Transfer
Cash Flow Detailed Analysis
• Consumes FQM_FLOW table for amounts only
• Very fine granularity in FQM_FLOW
• Driven by key figures for allocated cash
• Liquidity Items from invoice level – dates and amounts from bank
statement level
• Uses ABAP Query Service for consumption  easy to maintain, fast &
reliable
© 2014 SAP SE or an SAP affiliate company. All rights reserved. 38CustomerEarly Knowledge Transfer
You should now be able to
 Describe the business context of Liquidity Management
 Describe the detailed feature of Liquidity Management
Lesson Summary

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Liquidity management

  • 1. SAP Cash Management powered by SAP HANA 2.0 SPS00 Liquidity Management: Functions and Features March, 2015
  • 2. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 2CustomerEarly Knowledge Transfer At the end of this lesson, you will be able to:  Understand the business context of Liquidity Management  Understand the detailed feature of Liquidity Management Learning Objectives
  • 3. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 3CustomerEarly Knowledge Transfer Agenda 1 2 Business Context Explanation of Functionality
  • 4. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 4CustomerEarly Knowledge Transfer Agenda 1 2 Business Context Explanation of Functionality
  • 5. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 5CustomerEarly Knowledge Transfer Business Context Cash Managers and CFOs put the focus on the overall solvency of a company. Forecasts of the amount and timing of actual cash flows are of the highest importance. So that Cash Managers and CFOs can: •Get timely, congruent and objective liquidity plan •Use liquidity planning as an early warning indicator of liquidity shortages or as a steering tool for medium- and long-term investment or borrowing. •Track and trace liquidity planning cycle •Analyse variance to improve plan •Check predictive liquidity forecast data
  • 6. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 6CustomerEarly Knowledge Transfer Agenda 1 Business Context Explanation of Functionality Develop Liquidity Plans Liquidity Plans Liquidity Forecast Cash Flow 2
  • 7. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 7CustomerEarly Knowledge Transfer Explanation of Functionality Flow Diagram
  • 8. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 8CustomerEarly Knowledge Transfer Explanation of Functionality Develop Liquidity Plans  Trigger a new planning cycle for a monthly rolling liquidity plan  Get reference data as planning reference. The reference sources can be: • Liquidity Forecast • Previous Cycle Plan • Last Year Actual  Auto-fill with reference or planning data  Plan hedging of operating activities  Enter or adjust the planning data in planning currencies based on the reference data and submit  Review planning data by planning currency or aggregation currency and approve or reject liquidity plans  Track the planning status of subsidiaries by planning unit hierarchy  Make use of BPC to support process management With the app Develop Liquidity Plans, the group cash manager can regularly trigger a new planning cycle for a liquidity plan. Subsidiary cash managers then enter the liquidity plans for the relevant planning period and submit the plan to the group cash manager for approval. The timely and precise estimates of future balance and operative cash inflow and outflow allow subsidiary cash managers to ensure that payment obligations can be met and support group cash managers making investment or financing plans. The entire process management is powered by BPC. Business/Process Context Features and Capabilities
  • 9. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 9CustomerEarly Knowledge Transfer Develop Liquidity Plans Home
  • 10. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 10CustomerEarly Knowledge Transfer Develop Liquidity Plans Group Cash Manager – Start New Planning Cycle Group Cash Manager starts a new planning cycle and notify the responsible persons of target subsidiaries to submit liquidity plans.
  • 11. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 11CustomerEarly Knowledge Transfer Develop Liquidity Plans Subsidiary Cash Manager – Get email notification Once a new planning cycle is triggered, Subsidiaries Cash Manager receives an email notification about the planning cycle and activities to be performed. Subsidiaries Cash Manager can also open the activity from the ‘Develop Liquidity Plans - Enter Liquidity Plan’ tile.
  • 12. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 12CustomerEarly Knowledge Transfer Develop Liquidity Plans Subsidiary Cash Manager – Enter Plan Data Planning data entry layout. Only for leaf-level planning unit, planning data can be entered directly. For non-leaf-level planning unit, the planning data from its child planning units will be aggregated and is read-only. For example: Planning unit hierarchy of Group is as below. - Group (non-leaf-level) - China Company (leaf-level) - Germany Company (leaf-level) The planners of China Company and Germany Company enter planning data 100 EUR and 200 EUR respectively for their own planning unit. When the planner from Group go to Group’s data entry page, he/she can see the aggregated planning data as 300 EUR but cannot enter planning data. Planning unit is an organizational unit that needs to enter liquidity plan data. A planning unit can be a company code.
  • 13. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 13CustomerEarly Knowledge Transfer Develop Liquidity Plans Subsidiary Cash Manager – Get Reference Data for Planning Subsidiary Cash Manager can get reference data of selected data source for the 12 months involved in planning. Subsidiary Cash Manager can select multiple reference sources. The selected reference sources will be displayed on the column of the planning data entry page. The reference sources can be Liquidity Forecast, Previous Cycle Plan, Last Year Actual.
  • 14. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 14CustomerEarly Knowledge Transfer Develop Liquidity Plans Subsidiary Cash Manager – Auto-fill with Reference Data After getting the reference data, Subsidiary Cash Manager can auto-fill planning data with reference data based on a certain factor if he/she finds the reference data is reliable to some degree, which makes the planning job much easier than before. Both positive and negative percentage are allowed here. For example: Reference data from Previous Cycle Plan is 1000 EUR. Case A - Delta percentage: 5 % Case B - Delta percentage: -5 % Planning Value auto-filled in case A is 1050 EUR. Planning Value auto-filled in case B is 950 EUR. Note that the forecasted opening balance for the first month is copied to related planning cell regardless of the factor.
  • 15. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 15CustomerEarly Knowledge Transfer Develop Liquidity Plans Subsidiary Cash Manager – Auto-fill with Planning Data Once Subsidiary Cash Manager entered the plan data for a month, he/she can select the plan column and copy it to the plan column of the following months.
  • 16. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 16CustomerEarly Knowledge Transfer Develop Liquidity Plans Subsidiary Cash Manager – Plan Hedging of Operating Process If subsidiary has foreign currency deficit or surplus, Subsidiary Cash Manager can plan hedging with headquarter. Example: France company has 1000 USD foreign currency surplus and need hedge with headquarter by exchanging 1000 USD into 500 EUR. The cash manager enter a currency conversion plan for this surplus. 500 EUR which is Amount in Conversion Currency is calculated automatically on the popup.
  • 17. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 17CustomerEarly Knowledge Transfer Develop Liquidity Plans Subsidiary Cash Manager – Plan Hedging of Operating Process Example: An outflow 1000 in USD for France company is filled automatically. Example: An inflow 500 in EUR for France company is filled automatically.
  • 18. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 18CustomerEarly Knowledge Transfer Develop Liquidity Plans Subsidiary Cash Manager – Plan Hedging of Operating Process Example: The outflow 500 in EUR for headquarter is filled automatically. Example: An inflow 1000 in USD for headquarter is filled automatically.
  • 19. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 19CustomerEarly Knowledge Transfer Develop Liquidity Plans Group Cash Manager – Get the notification Group Cash Manager receives an email notification asking him/her to review the planning submitted by Subsidiary Cash Manager. Group Cash Manager can also open the review activity from the ‘Develop Liquidity Plans - Review Liquidity Plan’ tile.
  • 20. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 20CustomerEarly Knowledge Transfer Develop Liquidity Plans Group Cash Manager – Review Liquidity Plans Before Group Cash Manager make the decision of accepting or rejecting the plan, he/she can make use of the functions on the screen to help him review the plans from the subsidiaries. In dropdown list opened from Reference Data button, Group Cash Manager can: •Check reference data from different reference source. In dropdown list opened from Related Links button, Group Cash Manager can: •Go to aggregation view to review the planning amount aggregated in aggregation currency configured on the group. •Go to Liquidity Plans app to check various analysis reports. •Check plan from previous cycle. •Check the planning status of the subsidiaries.
  • 21. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 21CustomerEarly Knowledge Transfer Develop Liquidity Plans Group Cash Manager – Track Status Group Cash Manager can also track the planning status by planning unit hierarchy. When the planning deadline is approaching, he/she can identify the subsidiaries which haven’t submitted their plans and contact the responsible subsidiary cash manager to check what happened.
  • 22. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 22CustomerEarly Knowledge Transfer Agenda 1 Business Context Explanation of Functionality Develop Liquidity Plans Liquidity Plans Liquidity Forecast Cash Flow 2
  • 23. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 23CustomerEarly Knowledge Transfer Explanation of Functionality Liquidity Plans Features and Capabilities  Plan – Plan, Plan – Forecast, and Plan – Actual comparison  Overview suspicious plans  Drilldown from the Alerts to Liquidity Plans by Planning Currency or Aggregation Currency  Liquidity Plans by Planning Currency or Aggregation Currency in graphic view and table view  Navigate from Develop Liquidity Plan application to Liquidity Plans application  Check Difference Detail by liquidity Item hierarchy in planning currency or aggregation currency Cash managers need various reports analyzing the liquidity plans to help him/her increase the reliability of the liquidity plans. Typically, the continuous analysis of actual, plan and forecast data, and alert of the significant difference between current plan and previous one is essential for cash manager to keep in track on each planning cycle. Business/Process Context
  • 24. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 24CustomerEarly Knowledge Transfer Liquidity Plans Home
  • 25. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 25CustomerEarly Knowledge Transfer Liquidity Plans Cash Manager – Overview Suspicious Plans Alerts the cash manager about the significant difference between current plan and previous plan. Cash manager can locate the significant differences in which liquidity item and planning unit and also can find responsible person of the planned data. The data is aggregated in the aggregation currency configured on the root planning unit. Cash manager can check the aggregated data in original planning currency. Difference between plan and forecast, plan and actual are also listed on the table.
  • 26. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 26CustomerEarly Knowledge Transfer Liquidity Plans Cash Manager – Liquidity Plans by Aggregation or Planning Currency Liquidity plan by Planning/Aggregation Currency table view. In this view, cash manager can know the plan amount from last 12 planning cycles, actual data and forecast data on 12 calendar months involved in planning of selected planning cycle. Liquidity plan by Planning/Aggregation Currency graphic view. On this view, cash manager can compare selected planning cycle’s plan amount with previous planning cycle’s, and with actual transaction data. Also minimum and maximum plan amount from last 12 planning cycles is calculated for each calendar month involved in the planning of selected planning cycle. In the chart, cash manager can get a clear view for the plan gap, plan trend, and plan position between minimum and maximum plan data.
  • 27. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 27CustomerEarly Knowledge Transfer Liquidity Plans Cash Manager – Check Difference Details by Aggregation or Planning Currency When cash manager check the analysis on graphic view of Liquidity Plan by Planning / Aggregation Currency screen, he/she can navigate to Difference Details by Planning / Aggregation Currency to check the detailed planning amount by liquidity item hierarchy in order to locate suspicious amount belonging to which liquidity item. When cash manager checks the Difference Details by Aggregation Currency , he can selected a row to check how the planning amount of selected planning cycle is aggregated. In the popup, cash manager can check the distribution of the total amount by planning currency and also check the related exchange rate.
  • 28. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 28CustomerEarly Knowledge Transfer Agenda 1 Business Context Explanation of Functionality Develop Liquidity Plans Liquidity Plans Liquidity Forecast Cash Flow 2
  • 29. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 29CustomerEarly Knowledge Transfer Liquidity Forecast Tile Liquidity Forecast  The analytical app displays the Key Performance Indicator (KPI) Liquidity Forecast. With Liquidity Forecast, you can forecast the liquidity trend for future days.  BOM Link: https://boma0d717969.hana.ondemand.com/sap/fix/externalViewer/#/detail/Apps('F0512')/W6
  • 30. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 30CustomerEarly Knowledge Transfer 1. Home Page
  • 31. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 31CustomerEarly Knowledge Transfer 2 . Drill down (1)
  • 32. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 32CustomerEarly Knowledge Transfer 3. Drill down (2)
  • 33. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 33CustomerEarly Knowledge Transfer 4. Filter
  • 34. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 34CustomerEarly Knowledge Transfer Agenda 1 Business Context Explanation of Functionality Develop Liquidity Plans Liquidity Plans Liquidity Forecast Cash Flow 2
  • 35. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 35CustomerEarly Knowledge Transfer Cash Flow Tile Cash Flow – Detailed Analysis  With the Cash Flow - Detailed Analysis app, you can get an overview of the daily cash inflows and outflows, and analyze them for the last weeks or months for all subsidiaries and liquidity items. You can then identify the extraordinary and abnormal cash flows, ensure that they were accurate and compliant, and that they have taken the liquidity planning into account. The data presented in the app can be used to give an overview of the cash flow status to the management.  Cash inflows and outflows are calculated in remote systems (with the help of the SAP Liquidity Planner) and transferred periodically into the central Cash Management system  BOM Link: https://boma0d717969.hana.ondemand.com/sap/fix/externalViewer/#/detail/Apps('F0740')/W7
  • 36. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 36CustomerEarly Knowledge Transfer Cash Flow Analysis – Detailed View
  • 37. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 37CustomerEarly Knowledge Transfer Cash Flow Detailed Analysis • Consumes FQM_FLOW table for amounts only • Very fine granularity in FQM_FLOW • Driven by key figures for allocated cash • Liquidity Items from invoice level – dates and amounts from bank statement level • Uses ABAP Query Service for consumption  easy to maintain, fast & reliable
  • 38. © 2014 SAP SE or an SAP affiliate company. All rights reserved. 38CustomerEarly Knowledge Transfer You should now be able to  Describe the business context of Liquidity Management  Describe the detailed feature of Liquidity Management Lesson Summary