INNOVATION UPDATE FOR SAP S TREASURY PORTFOLIO

Similar documents
2015 SAP SE or an SAP affiliate company. All rights reserved. 1

Global Cash and Liquidity Management

Intelligent enterprise - Nordic user group SAP S/4HANA Finance PUBLIC

Michael Diet Director, Intensum Luxembourg

Case Study: Discover and Benefit from SAP Treasury Solutions on SAP HANA

SAP Simple Finance The Future of Finance. Angélica Bedoya, Center of Excellence, SAP LAC Abril, 2015

Kerry Runs Simple. Trevor Horan Kerry Group Liz Smith SAP Global Treasury

SAP Simple Finance The Future of Finance. Cesar A Ayala Innovation Sales Director North July 2015

SAP S/4 HANA Supply Chain Management Foundation for Business Innovation

From Insight to Action Best Practice Treasury Transformation

SAP Treasury Consulting

Agenda Discover the benefits of an integrated financial planning

SOFTWAREONE PYRACLOUD PLATFORM

5 Steps to Build an In-house Bank

Integrated business planning with SAP Business Planning and Consolidation

5 Questions to Answer before Migrating Credit and A/R Operations to S/4HANA

Where Payments Meet Life. Simplifying the Global Corporate Payments Journey with a Payment Factory

PERFECTION IN DETAIL. PAYMENT PROCESS MANAGEMENT

The Future of the Enterprise Core

Mobility and Analytics in Finance

TREASURY. INTEGRITY SaaS

SAP Simple Finance Transforming Finance with Instant Insight. CFO overview

TREASURY TREASURY AND RISK SOLUTIONS

FP&A and Financial Close at the Speed of Light. Christian Lindholm, VP EMEA Financial Management Applications October, 2016

Leveraging SAP technology to support global treasury vision.

SAP Simple Finance Your Key for a Technology Driven Transformation. Susana Fernandes, Office of the CFO Solutions

Treasury Transformation

SAP ERP to SAP S/4HANA 1709 Delta Scope. Olja Lapcevic, SAP West Balkans

End-to-end Business Management Solution for Small to Mid-sized Businesses

17. Çözüm Ortaklığı Platformu "The Future of Finance" - the future is now! "Finans'ın Geleceği" - Gelecek çok yakın!

SAP Business One designed for all your small and midsize company s needs

S4F51. Customizing Treasury and Risk Management in SAP S/4HANA COURSE OUTLINE. Course Version: 09 Course Duration:

Enterprise Portfolio and Project Management in SAP S/4HANA Current Status and Outlook

Agenda. SAP Cash & Liquidity Management & Payment overview. Overview of SAP Cash Management. Overview of SAP Liquidity Planner

Next Generation Planning & Analysis Thursday 29 October SAP SE or an SAP affiliate company. All rights reserved. Public

Cash Forecasting: Challenges, Modelling, and Visualization April 8, Treasury Webinars. All Rights Reserved 1

New Advanced Analytics Era! for Digital Finance Transformation. October, 2016

DRAFT. Fusion ERP Cloud Service October Oracle Fusion ERP Cloud Service. Magdalene Ritter

COURSE LISTING. Courses Listed. Training for Applications with Management Accounting in SAP S/4HANA. 26 November 2017 (17:54 GMT) Beginner

Delivering Financial Results better with Oracle EPM

SAP Supplier Portals. Built for SAP ERP, S/4 HANA S/4 HANA

Public. S/4HANA Finance. SAP S/4HANA Central Finance. Katharina Reichert, October 2016

International Conference on Central Finance 2018 Central Finance Roadmap. September 13 th, 2018 Stefan Fischer, Head of Central Finance Development

Finance in the Digital Age

ERP systems and operational transfer pricing: Relief is on the way Dbriefs Tax Operations series

Success Story. Pushing the Boundaries of Treasury

SAP Supplier Portals. Built for SAP ERP, S/4 HANA S/4 HANA

Next-Generation Planning & Analysis. Christopher Kaszelik

Ready for Innovation: S/4 HANA Finance. Steven Ceuterick, SAP Belgium June 2016

TREASURY TRANSFORMATION TO THE DIGITAL AGE AT SOUTH32 IAN WALFORD VP TREASURY SOUTH32

SAP Certified Application Professional - Financials in SAP S/4HANA 1610 for SAP ERP Financials Experts

Aptitude Accounting Hub

Efficiency & Effectiveness: The Ease of Using a Robust TMS

Legal Disclaimer SAP SE or an SAP affiliate company. All rights reserved. Public

How to Create, Manage and Refine Your Forecasting Process to Maximize Effectiveness

Effective Cash Forecasting: Less Complicated than You Think!

Transform Procurement with Integrated Processes

PeopleSoft Financial Update & Roadmap

Aptitude Accounting Hub

Strategic Approach to Payments

Step inside your new look business with SAP Business One. SAP Solution Brief SAP Solutions for Small Midsize Businesses

QAD FINANCIALS BENEFITS

SAP Treasury and Risk Management rapiddeployment

The Big Business of Big Data in Liquidity Management How Big Data Can Revolutionize Your Cash Forecast

Smart strategies for difficult times - Oracle roadmap to management excellence

Sap In House Cash Configuration Guide

SAP Innovation Camp 2018 S/4 UX Fiori

Treasury Capabilities and Resourcing (Breakout Session)

Oracle ERP Cloud Period Close Procedures

CCH Tagetik Modernizing Finance May 21, 2018

Hyperion - total planning and budgeting. Michał Kozłowski, EPM Solution Sales Poland, Lithuania, Latvia, Estonia

Think Outside of the Box with your TMS

Cash Forecasting A Free Cash Flow Perspective

Order to Cash. Achieve Visibility, Process Efficiency, and Customer Satisfaction with Future-proof End-to-End Automation

SAP S/4HANA and the Digital Transformation. Sven Denecken GVP Co-Innovation and Strategy SAP S/4HANA, SAP SE April 2015

Sap S 4hana Financial Accounting Certification Guide

8302 Kloten Workflow Tuning witha De-Centralized Payment Factory. Expertise from 200 Projects Since 1992

Liquidity Risk Management Best Practice

LEASE ACCOUNTING AND YOUR OTHER FINANCIAL SYSTEMS THE ENTERPRISE SYSTEMS THAT TRACK LEASING DATA. Developed For:

AXIO ProServ: Optimized Operations for the Global Project Management-based Enterprise

Step inside your new look business with SAP Business One

SAP S/4HANA. James Wade March 20, 2017

Datasoft is an international software

#SAPForum 2016 SAP SE OR AN SAP AFFILIATE COMPANY. ALL RIGHTS RESERVED. #SAPForum

Electronic Document Center

FUELING FINANCE S NEEDS FOR INSIGHTS WITH SAP S/4HANA

How to Optimize the Benefits of In-House Banking

Highlights. Al Khalijii Bank. T24 Transact TREASURY

SAP Business One for NGO s Step inside your new look business

PRODUCT SHEET. FIS Commercial Loan Origination

AP Automation: Struggles, Strategies and Solutions

ACUMATICA CLOUD KEY BENEFITS ACCESS YOUR ERP ANYTIME FROM ANY DEVICE, EASILY SCALE RESOURCES, AND CHOOSE YOUR DEPLOYMENT OPTION WORK THE WAY YOU WANT

Journey to the Cloud Experiences from SAP s Transformation

Global TMS Selection & Implementation Workshop

SANTANDER TREASURY LINK Built for the way you do business

INDEX CEO S LETTER 2 MICHAEL PAGE 3 PRELIMINARY NOTES 4 INDEX 5 OUR OFFICE 20

S/4HANA und was nun? Mit SAP Consultingpaketen sicher und schnell in die Realtimewelt. SAP IT Summit 2015

2014 SAP SE or an SAP affiliate company. All rights reserved. 1

With a network of 220 resellers and operations in over 55 countries, Sage ERP has already gained over 3,300 customers and has over 180,000 users.

Transcription:

INNOVATION UPDATE FOR SAP S TREASURY PORTFOLIO DENIS VERVIER & PHILIPPE AMAND - INTENSUM

SAP TREASURY TREASURY SOLUTION MAP PAYMENTS AND BANK COMMUNICATIONS PAYMENT OPERATIONS WORKFLOW AND SIGNATURES MONITORING & STATUS TRACKING IN HOUSE BANK & PAYMENT FACTORY BANK AND SWIFT CONNECTIVITY CASH AND LIQUIDITY MANAGEMENT BANK STATEMENTS PROCESSING & MONITORING CASH POSITION LIQUIDITY MANAGEMENT BANK ACCOUNT MANAGEMENT DEBT AND INVESTMENT MANAGEMENT FRONT OFFICE DEAL CAPTURE MID OFFICE RISK CONTROLLING BACK OFFICE CORRESPONDENCE & SETTLEMENT ACCOUNTING (DAILY & MONTH-END) FINANCIAL RISK MANAGEMENT RISK IDENTIFICATION EXPOSURE MANAGEMENT GOVERNANCE RISK AND COMPLIANCE (EMIR) CREDIT & MARKET RISK ANALYSIS PERFORM HEDGING FX INTEREST RATE COMMODITY RISK FOUNDATION CLOUD OR ON PREMISE HANA PLATFORM REAL TIME ANALYTICS MOBILE RAPID DEPLOYMENT SOLUTIONS (RDS) SAP CASH MANAGEMENT POWERED BY SAP HANA

SAP CASH MANAGEMENT POWERED BY S4HANA MAIN FUNCTIONALITY CENTRALIZED BANK ACCOUNT MANAGEMENT (BAM) DAILY CASH OPERATIONS Bank statement monitoring Short-term Cash Position & Cash Forecasting Easy bank transfer & cash pooling Payment approval & monitoring KPI s & statistics LIQUIDITY MANAGEMENT Mid-term Liquidity Forecast Actual Cash Flow Analysis Embedded Liquidity Planning & Variance Analysis + CENTRAL LAUNCHPAD / FIORI + SMART BUSINESS APPLICATIONS FULLY INTEGRATED WITH TREASURY & RISK (TRM), BANK COMMUNICATION (BCM), IN HOUSE BANK (IHC) & FINANCE (FI)

SAP TREASURY SINGLE SOURCE OF TRUTH ON EXPOSURE Visibility into global operations, cash and financial risk exposures is still a major challenge for Corporate Treasury. Collecting and conforming cash data & exposures from many sources and systems is difficult and time-consuming SAP TREASURY MARKET PLACES MARKET DATA BANK ACCOUNT MANAGEMENT CASH OPERATIONS CASH FORECASTING / PLANNING FX MANAGEMENT DEBT MANAGEMENT INVESTMENT MANAGEMENT CORRESPONDANCE FRAMEWORK CENTRAL EXPOSURE HUB SAP HANAPLATFORM + SAP S4 HANA SIMPLE FINANCE LIMIT MANAGEMENT EXPOSURE MANAGEMENT HEDGE MANAGEMENT RISK MANAGEMENT PAYMENTS IN HOUSE BANK BANK STATEMENTS MONITORING & STATUS MANAGEMENT SIGNATORY BANKS ACCOUNTS PAYABLE (AP) ACCOUNTS RECEIVABLE (AR) OTHERS Centralization and Single Source of Truth with One Exposure Designed to be the central data storage location for all operational data that is relevant for managing a company s exposures and therefore aims to become the single source of truth for any financial risk.

BANK ACCOUNT MANAGEMENT KEY BUSINESS DRIVERS ACHIEVE GLOBAL VISIBILITY Central Bank Account Management is crucial to have a global visibility over all bank accounts within the group. Some of the key business drivers for a centralized BAM system are: Better control & visibility of bank accounts Automated processes for bank account maintenance using workflows Central repository for all bank account documentation and contracts Better management of power of signatures Potential reduction of the number of bank accounts Improved and uniformed reporting system on bank relationships Enhancement of the external audit review process

BANK ACCOUNT MANAGEMENT MAIN FEATURES AUTOMATED CASH POOLING OVERDRAFT LIMITS BANK & BANK ACCOUNT HIERARCHY SAP BANK ACCOUNT MANAGEMENT APPROVAL & REVIEW WORKFLOW INTEGRATION WITH PAYMENT APPROVAL Group-wide and centralized Bank Account Management Approval process using workflow for Bank Account Opening and Closing and for account sensitive attributes changes Payment approval limits and signatory rules Easy following of change history & audit trail Overdraft Limits Cash Pooling hierarchies CHANGE HISTORY & ATTACHMENT Attachment of documents Upload / download functions

BANK ACCOUNT MANAGEMENT APPROVAL WORKFLOW : OPEN NEW BANK ACCOUNT REQUEST APPROVE ACCOUNT OPENING IT CONFIGURATION The Finance Manager of the subsidiary request to open a new bank account and specify the business reasons Group Cash Manager review the request, compare with existing accounts and approve or reject the request Bank relationship Manager negotiates with the bank on the contracts, gets the account opened, and fills in all the necessary information of the account IT makes the necessary configuration to enable the bank account into payment and bank statement processes

LIQUIDITY MANAGEMENT DAILY CASH POSITION & CASH FORECASTING START FROM KPI S TO HIGH LEVELS BREAKDOWNS > TO DETAIL CASH POSITION & FORECASTING > TO TRANSACTIONAL DATA >

DAILY CASH OPERATIONS MONITORING TASKS OF CASH MANAGER BANK STATEMENT CASH POSITION BANK TRANSFER & DEALING PAYMENT APPROVAL Monitor whether bank statements have all been received, & imported successfully Review yesterday s bankconfirmed position, and forecast today s closing balance per currency Make bank transfer, deposits or borrowings in case of deficit or surplus Approve payments to be executed and monitor payment status

LIQUIDITY MANAGEMENT KEY BUSINESS DRIVERS FOCUS ON OVERALL SOLVENCY Cash Managers and CFO s have increased their focus on the overall solvency of the company However, corporate organizations are facing multiple challenges in this exercise: Manual, time consuming, non-standard processes and templates Poor data quality, lack of consistency and completeness Missing system integration (no single point of truth for all stakeholders) How to ensure accurate & reliable cash flow forecasts? How to identify cash flow drivers & early warning indicators for improved decision making? Three key dimensions Establish a Single Point of Truth Improve processes via automation, standardization, simplification and consistency Provide fast decision support tools to enhance profitability and manage risk SAP Cash Management powered by HANA provides a real-time integrated solution

BOTTOM UP UP DOWN LIQUIDITY MANAGEMENT SAP CASH MANAGEMENT AN INTEGRATED SOLUTION CASH FLOW ANALYSIS SAP CASH MANAGEMENT POWERED BY SAP HANA CASH POSITION LIQUIDITY FORECAST LIQUIDITY PLANNING / ROLLING FORECAST NEW SAP CASH MANAGEMENT POWERED BY SAP HANA One integrated & central tool to manage the complete process Single source of truth - No replication Real-time Embedded planning tool & analytics CLASSIC SAP CASH MANAGEMENT Combination of tools (ERP, BW, IP/BPC) Data replication & offline process HISTORY 1-5 DAYS UP TO 24 WEEKS 1 YEAR PLANNING HORIZON

LIQUIDITY MANAGEMENT LIQUIDITY FORECAST BUSINESS / PROCESS CONTEXT While Cash Position predict the short-term position by currency & value date, Liquidity Forecast will provide a mid-term view for monitoring the forecasted cash balance & cash flows that may occur in future. Basis for appropriate financing & investment activities FEATURES & CAPABILITIES Liquidity trend for future days High level liquidity forecast in different currencies Both balance & net cash flows are shown Drilldown by liquidity items Forecast data from following sources : Receivables & Payables Payment cycles Treasury Manual planning Logistics

LIQUIDITY MANAGEMENT LIQUIDITY PLANNING - OVERVIEW GROUP CASH MANAGER SUBSIDIARY CASH MANAGER BUSINESS / PROCESS CONTEXT Group Cash Manager triggers a new planning cycle Responsible persons are notified per email Subsidiaries enter planning data for relevant planning period Subsidiaries submit the plan to the group cash manager for approval Currency conversion & aggregation Group Cash Manager analyzes submitted data FEATURES & CAPABILITIES Weekly or monthly rolling liquidity plan Use reference data as planning basis like Liquidity Forecast, Previous planning cycle or Last year actual Enter / adjust planning data by currency Calculation factors to adjust reference data Track progress by planning unit hierarchy Variance analysis in planning & aggregation currencies ROLLING LIQUIDITY PLAN PROCESS TRIGGER PLANNING CYCLE ENTER LIQUIDITY PLAN REVIEW LIQUIDITY PLAN ANALYZE PLANNING CYCLE START NEW PLANNING CYCLE TRACK STATUS AND PROGRESS ENTER PLANNING DATA FOR ALL CURRENCIES CURRENCY CONVERSION SUBMIT PLAN REVIEW SUBMITTED PLANS APPROVE / REJECT THE PLANS CONSOLIDATE & COMPLETE PLANNING CYCLE VARIANCE ANALYSIS

LIQUIDITY MANAGEMENT START A NEW PLANNING CYCLE BUSINESS / PROCESS CONTEXT Group Cash Manager starts a new planning cycle and selects the responsible persons of subsidiaries to enter and submit their liquidity plans Once planning is triggered, subsidiaries receive an email notification about the planning cycle and activities to be performed. 1 2 FEATURES & CAPABILITIES Choose which planning cycle to start Weekly or monthly rolling forecast Review or edit pre-defined Performer & Reviewer

LIQUIDITY MANAGEMENT ENTER PLANNING DATA USE REFERENCE DATA AS STARTING POINT 1 2 1 Subsidiary Cash Manager can select multiple reference sources : Liquidity Forecast, Previous Cycle Plan, Last Year Actual. 2

LIQUIDITY MANAGEMENT LIQUIDITY PLANNING VARIANCE ANALYSIS BUSINESS / PROCESS CONTEXT Cash Manager needs various reports to analyze the liquidity plans to help increase the reliability of the submitted data Continuous analysis of actual, plan & forecast data, and alert of the significant difference between current & previous plan is essential FEATURES & CAPABILITIES Plan plan and plan actual comparison Overview suspicious plans Drilldown from Alerts to Liquidity Plans by Planning or Aggregation Currency Liquidity Plans in graphic and table view Check difference detail by liquidity Item hierarchy

LIQUIDITY MANAGEMENT CASH FLOW ANALYSIS BUSINESS / PROCESS CONTEXT Analysis of past periods To understand the cash flow drivers and identify the extraordinary / abnormal flows, Cash Manager needs to get a comprehensive picture of the actual cash flows per liquidity item & currency FEATURES & CAPABILITIES Analyze actual cash flows in a finer granularity Allocation of cash in & out based on direct method View the cash inflow, outflow, and net flow that has been confirmed by banks, using the actual value date of the bank statements Multi-dimensional analysis by country, bank, company, currency and liquidity item hierarchy.

A clear strategy focusing on finance, intelligence and innovation : cross industry projects with attention to quality and long-term collaboration INTENSUM is an independent European consulting agency founded in 2005. Our objective is to align business & IT through a unique service offering combining senior SAP & SAS competencies with solid business expertise. We deliver first-class implementation skills, focusing on the optimization of the Financial Supply Chain & Treasury processes, Business Analytics & Planning and process improvement through innovative solutions.