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SAP C_S4FTR_2023 Practice Test - Questions Answers, Page 3

List of questions

Question 21

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

Discount factors

Discount factors

Forex swap rates

Forex swap rates

Security prices

Security prices

Credit spreads

Credit spreads

Net present values

Net present values

Suggested answer: A, B, C

Explanation:

Market data types are used to provide market information for valuing financial transactions and performing market risk analysis. Some of the market data types that can be imported into the system are discount factors, forex swap rates, and security prices. Discount factors are used to calculate present values of cash flows based on interest rates. Forex swap rates are used to calculate forward exchange rates based on spot rates and interest rate differentials. Security prices are used to value securities based on market quotations.

asked 31/10/2024
Alan How
35 questions

Question 22

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You work with pre converted currency data for liquidity planning in SAP Analytics Cloud.To which category can this data be applied?

Forecast

Forecast

Budget

Budget

Planning

Planning

Actuals

Actuals

Suggested answer: D

Explanation:

You can apply pre converted currency data to the Actuals category for liquidity planning in SAP Analytics Cloud. This category represents the actual cash flows that have occurred in the past. You can use this data to compare with other categories, such as Forecast, Budget, or Planning, which represent the expected or planned cash flows for the future.

asked 31/10/2024
Anouar Ettahery
35 questions

Question 23

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Your company is performing FX balance sheet hedging.What data is captured with the Take Snapshot Balance Sheet FX Risk SAP Fiori app?Note: There are 2 correct answers to this question.

Hedge quotas

Hedge quotas

Balance sheet exposures

Balance sheet exposures

Market data

Market data

FX hedges

FX hedges

Suggested answer: B, C

Explanation:

The Take Snapshot Balance Sheet FX Risk SAP Fiori app is used to capture the data for FX balance sheet hedging. The data that is captured with this app includes balance sheet exposures and market data. The balance sheet exposures are the open items that are exposed to foreign currency risk. The market data are the exchange rates that are used to value the exposures and calculate the FX gains or losses.

asked 31/10/2024
Ali S Zahedi
40 questions

Question 24

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Which of the following must be configured to use Liquidity Planning?Note: There are 2 correct answers to this question.

SAP Liquidity Planner

SAP Liquidity Planner

SAP Cloud Connector

SAP Cloud Connector

SAP S/4HANA on premise

SAP S/4HANA on premise

SAP Cash Application

SAP Cash Application

Suggested answer: B, C

Explanation:

To use Liquidity Planning, you need to configure two components: SAP Cloud Connector and SAP S/4HANA on premise. SAP Cloud Connector is a software that connects your on-premise system to SAP Analytics Cloud securely and reliably. SAP S/4HANA on premise is the source system that provides the actual and plan data for liquidity planning.

asked 31/10/2024
Abbas Maleki
24 questions

Question 25

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Which item is part of the standing instructions for the counterparty role for a business partner?

Trading partner

Trading partner

Business partner type

Business partner type

Partner bank

Partner bank

Business partner relationships

Business partner relationships

Suggested answer: C

Explanation:

The standing instructions for the counterparty role for a business partner include the partner bank item. The partner bank is the bank account of the counterparty that is used for settlement of financial transactions. The standing instructions define the default values and rules for processing financial transactions with a counterparty.

asked 31/10/2024
Zuzana Combs
26 questions

Question 26

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When defining payment methods, which setting is made at country level?

Payment medium format

Payment medium format

Minimum payment amounts

Minimum payment amounts

Account determination

Account determination

Payment ranking order

Payment ranking order

Suggested answer: D

Explanation:

When defining payment methods, the payment ranking order is a setting that is made at country level. The payment ranking order determines the priority of payment methods for clearing open items within a country. The payment method with the lowest ranking order number has the highest priority and is selected first.

asked 31/10/2024
Louis Perriot
42 questions

Question 27

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Regardless of configuration, by which criterion are payment requests always grouped in the collector of SAP Bank Communication Management?

Payment medium format

Payment medium format

Payment approver

Payment approver

Payment currency

Payment currency

House bank

House bank

Suggested answer: C

Explanation:

Payment requests are always grouped by payment currency in the collector of SAP Bank Communication Management, regardless of configuration. The payment currency is the currency in which the payment is made to the payee. The collector groups payment requests by payment currency to facilitate the creation of payment batches and payment media.

asked 31/10/2024
Braden Houser
33 questions

Question 28

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You are working with security transactions.The position is the basis for which of the following?

Valuation flows

Valuation flows

Correspondence

Correspondence

Settlement of the trade

Settlement of the trade

Posting of a trade's purchase cash flows

Posting of a trade's purchase cash flows

Suggested answer: A

Explanation:

The position is the basis for valuation flows when working with security transactions. The position is the quantity of securities that are held in a portfolio at a given point in time. The valuation flows are the cash flows that are generated by valuing the position based on market data and valuation rules.

asked 31/10/2024
Janina Loveria
39 questions

Question 29

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You are creating dimensions for a liquidity planning model in SAP Analytics Cloud.Which dimension types can you choose?Note: There are 3 correct answers to this question.

Currency

Currency

Partner

Partner

Organization

Organization

Account

Account

Measure

Measure

Suggested answer: A, C, D

Explanation:

The dimension types that you can choose when creating dimensions for a liquidity planning model in SAP Analytics Cloud are: Currency, which defines the currency of the cash flows; Organization, which defines the organizational units that are responsible for the cash flows; Account, which defines the categories of cash inflows and outflows.

asked 31/10/2024
Mohamed Mohamed
48 questions

Question 30

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You are testing cross-currency swaps.Which of the following are some of the characteristics of this product type?Note: There are 2 correct answers to this question.

Nominal amounts are not exchanged.

Nominal amounts are not exchanged.

Interest based on the nominal currency amount is exchanged.

Interest based on the nominal currency amount is exchanged.

Nominal amounts are exchanged.

Nominal amounts are exchanged.

Interest payment amounts are netted.

Interest payment amounts are netted.

Suggested answer: B, C

Explanation:

Cross-currency swaps are financial transactions that involve the exchange of interest payments and principal amounts in different currencies. Some of the characteristics of this product type are: interest based on the nominal currency amount is exchanged and nominal amounts are exchanged. The interest payments can be fixed or variable and are based on the nominal amount of each currency. The nominal amounts are exchanged at the start and end of the swap using agreed exchange rates.

asked 31/10/2024
Oeurn Chan
28 questions
Total 80 questions
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