SAP C_S4FTR_2023 Practice Test - Questions Answers
List of questions
New company codes have been added recently. You want to include the cash flow data for these company codes in One Exposure so the data is reflected in the SAP Cash Management reports.After you activate the Financial Operations source application for each company code, what additional steps must be performed?Note: There are 3 correct answers to this question.
Rebuild flow types in accounting documents
Rebuild planning levels and planning groups in accounting documents
Rebuild value dates in accounting documents
Rebuild liquidity item hierarchies
Rebuild liquidity items in accounting documents
When entering a trade, you can add the differentiation-relevant account assignments.Which of the following are the additional account assignments available for differentiating treasury positions? Note: There are 3 correct answers to this question.
Business area
Profit center
Internal order
Fund
WBS element
You configure a new foreign exchange product and want automatic settlement on counter confirmation. At what level of configuration do you specify this requirement?
Product type
Activity category
Transaction type
Forex attributes
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?
SAP digital payments add-on
SAP S/4HANA Cloud for advanced payment management
SAP Cash Application
SAP Multi-Bank Connectivity
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.
Lookback interest calculation
Average compound interest calculation
Compound interest calculation
Floating rate calculation
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.
When the limit utilization analysis is executed
When the trade is saved
When settling the trade
When the check icon is clicked
Which of the following are features of the analysis structure in Market Risk Analyzer? (Choose Two)
The analysis structure is the basis for market and credit risk reporting.
The valuation rule is defined on the basis of the analysis structure.
Multiple analysis structures can be active in a client at the same time.
An analysis structure is defined as master data.
Your customer requires you to create a two-step approval process. All payment approver groups must receive the workflow approval request at the same time.Which approval sequence will you implement in Bank Account Management?
Sequential approval pattern
Non-sequential approval pattern
Hierarchical approval pattern
Automatic approval pattern
Your company is using SAP Bank Communication Management.Which parameter determines if payments in the payment run are routed through SAP Bank Communication Management?
Payment medium format
Paying company code
Payment run identification
Payment method
Which G/L account type must be set when working with the bank reconciliation ledger?
Cash account
Balance sheet account
Bank sub account
Bank reconciliation account
Question