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Copyright © Anna-marie Redpath 2001, 2002 ( www.sapscene.com ) The Cash position and forecast enquiry is usually used by the Treasurer or whoever is responsible for ensuring that the company has adequate funds for expected outgoings. The Cash Position input data is the known balances:
Examples are:
The Cash Forecast input data is the summary of the expected financial incomings and outgoings in the subledgers:
It is possible to use the one enquiry to cover both position and forecast. The configuration is the same. For simplicity I will often refer to cash forecast to cover both the cash position and forecast. A guide covering the following can be purchased at the Knowledge Shop. BanksDescribes the terminology and set up of banks in SAP, specifically the relationship between bank accounts, banks, house banks, bank directory, cash management account name and the General Ledger bank accounts. GL Bank AccountsDescribes how GL bank and bank clearing accounts are used in the Treasury / Accounts Receivable/Payable functionality. Uses the SAP standard bank accounts as an example to explain the intended purpose of each bank related GL account and what the entries in those accounts should indicate - specifically the uncleared entries. Running the Cash Position or Forecast EnquiryGuidelines on executing the cash position and forecast if they have already been configured Understanding the Business RequirementsDescribes the information that you should gather about your company's operations in this area to adequately configure it. Dates and the Cash ForecastThe Cash position and forecast is all about amounts and dates. The section explains how the dates are determined for the various inputs. Cash Forecast TerminologyExplains the key terms that are encountered in the configuration. Must be read before embarking on the configuration section. Cash Forecast ConfigurationGuidelines on configuring the Cash Position and Forecast - presented in two sections - essential and then advanced configuration. Related Configuration / Processing areasDescribes some of the related configuration and processing areas that impact or feed data to the cash forecast. Preparing test dataPresents some hints on preparing test data directly without having to run the feeder programs. This guide can be purchased at the Knowledge Shop Copyright © Anna-marie Redpath 2001, 2002 ( www.sapscene.com ) |
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