Chap_10_FIN
-
Upload
astalavistaamerica -
Category
Documents
-
view
212 -
download
0
Transcript of Chap_10_FIN
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 1/16
FIN Financials
Release Notes
SAP ERP Central Component
Release 5.0
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 2/16
© Copyright 2004 SAP AG. All rights reserved.
No part of this publication may be reproduced or transmitted in any form or for any purpose without the express permission
of SAP AG. The information contained herein may be changed without prior notice.
Some software products marketed by SAP AG and its distributors contain proprietary software components of other software
vendors.
Microsoft®, WINDOWS®, NT®, EXCEL®, Word®, PowerPoint® and SQL Server® are registered trademarks of
Microsoft Corporation.
IBM®, DB2®, OS/2®, DB2/6000®, Parallel Sysplex®, MVS/ESA®, RS/6000®, AIX®, S/390®, AS/400®, OS/390®, and
OS/400® are registered trademarks of IBM Corporation.
ORACLE® is a registered trademark of ORACLE Corporation.
INFORMIX®-OnLine for SAP and Informix® Dynamic ServerTM
are registered trademarks of Informix Software
Incorporated.
UNIX®, X/Open®, OSF/1®, and Motif ® are registered trademarks of the Open Group.
Citrix®
, the Citrix logo, ICA®
, Program Neighborhood®
, MetaFrame®
, WinFrame®
, VideoFrame®
, MultiWin®
and otherCitrix product names referenced herein are trademarks of Citrix Systems, Inc.
HTML, DHTML, XML, XHTML are trademarks or registered trademarks of W3C®, World Wide Web Consortium,
Massachusetts Institute of Technology.
JAVA® is a registered trademark of Sun Microsystems, Inc.
JAVASCRIPT® is a registered trademark of Sun Microsystems, Inc., used under license for technology invented and
implemented by Netscape.
SAP, SAP Logo, R/2, RIVA, R/3, SAP ArchiveLink, SAP Business Workflow, WebFlow, SAP EarlyWatch, BAPI,
SAPPHIRE, Management Cockpit, mySAP.com Logo and mySAP.com are trademarks or registered trademarks of SAP AG
in Germany and in several other countries all over the world. All other products mentioned are trademarks or registered
trademarks of their respective companies.
Design: SAP Communications Media
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 3/16
10 FIN Financials 110 .1 FIN-FSCM Financial Supply Chain Management 1
10 .1.1 SAP Financial Supply Chain Management (New) 1
10 .1.2 FIN-FSCM-CLM Cash and Liquidity Management 1
10.1.2.1 Cash Management 1
10 .1.3 FIN-FSCM-IHC In-House Cash 1
10.1.3.1 Authorization Administration (Changed) 1
10 .1.3 .2 Business Partner Categories and Standard Roles (Changed) 2
10 .1.3 .3 Payment Order (Changed) 2
10 .1.3 .4 Processing Foreign Currencies (Changed) 3
10 .1.3 .5 Processing Payment Orders (Changed) 3
10.1.3.6 Integration in SAP Cash Management (New ) 410.1.3.7 Central Incoming Payments (Changed) 5
10 .1.3 .8 Structural Changes in SAP In-House Cash IMG: 5
10.1.3.9 Structural Changes to the Area Menu of In-House Cash: 7
10 .1.4 FIN-FSCM-TRM Treasury and Risk Management 8
10.1.4.1 Treasury Deactivation 8
10 .1.4 .2 Changes to the Treasury and Risk Management Area Menu 8
10 .1.4 .3 FIN-FSCM-TRM-TM Transact ion Manager 9
10 .1.4 .3 .1 GDPdU (German Principles of Data Access an
Digital 9
10.1.4.3.2 Structural Changes to the IMG of Treasury
Management 9
10.1.4.3.3 FIN-FSCM-TRM-TM-TR Transact ion Management 10
10.1.4.3.3 .1 Various Enhancements in Hedge Management 10
10.1.4.3.3 .2 New Product Types in Foreign Exchange Trading 10
10.1.4.3.4 FIN-FSCM-TRM-TM-AC Transfer to Financial Accounting 10
10.1 .4.3 .4.1 BAdI for Key Date Valuation 10
10.1 .4.3 .4.2 Futures Valuation 11
10 .1.4 .4 FIN-FSCM-TRM-PA Port folio Analyzer 11
10.1.4.4.1 11
10 .1.4 .5 FIN-FSCM-TRM-MR Market Risk Analyzer 11
10.1.4.5.1 11
10 .1.4 .6 FIN-FSCM-TRM-CR Credit Risk Analyzer 12
10.1.4.6.1 12
10.1.4.6.2 12
10.1.4.6.3 12
______________________________________________________________
SAP AG iii
Release Notes Table of Contents SAP AG ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 4/16
10 FIN Financials
10.1 FIN-FSCM Financial Supply ChainManagement
10.1.1 SAP Financial Supply Chain Management (New)
Use
As of SAP ECC 5.00, Financials Extension (EA-FIN 500) you can find the area menu and
implementation guide (IMG) for all components belonging to the mySAP Financials Financial Supply Chain Management solution under a single node: Financial Supply Chain Management.
10.1.2 FIN-FSCM-CLM Cash and Liquidity Management
10.1.2.1 Cash Management
Use
As of SAP ECC 5.00, Financials Extension (EA_FIN 500) you will find the Cash Managementcomponent which used to belong to Treasury under SAP Cash and Liquidity Management.
SAP Cash and Liquidity Management is a subcomponent of SAP Financial Supply Chain
Management.
10.1 .3 FIN-FSCM-IHC In-House Cash
10.1.3.1 Authorization Administration (Changed)
Use
From SAP ECC 500, Financial Services (EA-FS 500) the check on the amount-dependent
authorization has changed as follows: The authorization applies only to amounts below the
amount limit (exclusively and not inclusively as before).
The Delete und Reverse activities have also been added to the authorization check.
Effects on System Administration
Revise the authorizations for the new activities Delete and Reverse in the authorization objects.
Effects on Customizing
______________________________________________________________
SAP AG 1
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 5/16
Amount-Dependent Authorization.
10.1.3.2 Business Partner Categories and Standard Roles (Changed)
Use
From SAP ECC 500, Financial Services (EA-FS 500) the new role concept from the SAP
Business Partner is to be used. The previous roles Account Holder , Authorized Drawer and
Bank Statement Recipient are now available as role categories and standard roles.
See also
SAP Business Partner for Financial Services (Extended)
Business Partner Role (Extended).
10.1.3.3 Payment Order (Changed)
Use
As of SAP ECC 5.00, Financials Extension (EA-FIN 500) , the original payment order is
replaced by the IHC payment order. There is also a new interface layout.
The new functions include the following areas:
- Selection, display and editing of payment orders with user-defined selection criteria
- Details for processing payment orders, such as provisional posting and determining a
clearing partner
Effects on Customizing
The following list only contains the new IMG activities for the IHC payment order:
- User-Defined Check for Manual IHC Payment Orders
- Set Up Number Ranges for Log
- Set Up Number Ranges for Reference Documents
- Set Up Number Ranges for IHC Payment Orders- Make Basic Settings for Payment Processes
- Amount-Dependent Authorizations
- Set Up Principle of Dual Control
- Set Up Container Fields for IHC Payment Orders
- Define Default Setting for Transaction Type
- Define Instruction Codes for FI
- Define Instruction Codes for FI
______________________________________________________________
SAP AG 2
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 6/16
- Define Transaction Types
See also
- Only the most important new IMG activities have links in this release note.
Information about additional settings that you must make for IHC payment orders can be
found in the upgrade configuration guide for SAP In-House Cash .
- Release notes:
- Processing Payment Orders (Changed)
- Central Incoming Paymemts (Changed)
10.1.3.4 Processing Foreign Currencies (Changed)
Use
As of SAP ECC 5.00, Financials Extension (EA-FIN 500) changes have been made to how
incoming and outgoing payments are processed if the transaction currency differs from the
currency of the corresponding current account.
The currency conversion is no longer based on payment orders to be generated but rather on
the basis of payment items. The following new functions are available:
- Provisional and final settlement
- Flexible determination of the exchange rate type
You can define separate rate types for buying and selling rates in order to calculate thecredit or debit amounts.
- Primary and secondary exchange rates
You can differentiate between rates that the in-house cash center uses on the money market
and rates that are used internally.
Effects on Customizing
To enter currency-specific settings such as selling and buying rates, select Make Basic Settings
for Payment Processes in Customizing for SAP In-House Cash.
See also
Release notes:
- Structural Changes in the Area Menu of SAP In-House Cash
- Structural Changes in the IMG of SAP In-House Cash
10.1.3.5 Processing Payment Orders (Changed)
Use
______________________________________________________________
SAP AG 3
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 7/16
As of SAP ECC 5.00, Financials Extension (EA-FIN 500) , the process in use up to now
has been restructured:
- When inbound IDocs enter the in-house cash center, the system parks the payment orders.
In Customizing you decide whether to process the payment order manually or to post it
automatically straight away.
- Route determination has been restructured for increased flexibility and comfort:
- When defining rules, most of the payment order fields are available.
- You can define value areas and operators.
- Outbound IDocs leaving the in-house cash center use basic types which are compatible with
those of the inbound IDoc. By means of the outbound IDoc, a payment order can now be
asynchronically processed further.
- The payment requests required for external payments are now generated asynchonically
from the outbound IDocs. You can make the necessary settings for payment request
generation in the receiving FI system.
Effects on Customizing
- Set Up Route Processing
- Make Basic Settings for Payment Processes
- Define Transaction Type for Automatic Payments
- Set Up Creation of Payment Requests for Inbound IDoc in FI
See alsoOnly the most important new IMG activities have links in this release note.
Information about additional settings for processing payment orders can be found in the upgrade
configuration guide for SAP In-House Cash .
10.1.3.6 Integration in SAP Cash Management (New)
Use
As of SAP ECC 5.00, Financials Extension (EA-FIN 500) you can create a financial status
for SAP In-House Cash which you can use for the following:
- Online display in SAP In-House Cash and the option to download to Excel
- Forward to the components of SAP Cash Management The data can be displayed in the liquidity forecast and in the cash position.
The IHC financial status contains the following information:
- Balances of current accounts based on a value date
- Provisionally posted internal turnover
- Provisionally posted external turnover
______________________________________________________________
SAP AG 4
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 8/16
Effects on Customizing
Select the following activities in SAP In-House Cash Customizing to set up the IHC financial
status:
- Set Up Financial Status
- Check the Consistency of the Settings
10.1.3.7 Central Incoming Payments (Changed)
Use
As of SAP ECC 5.00, Financials Extension (EA-FIN 500) , the following new functions are
available for central incoming payments:
- If the system is unable to determine a recipient account, the payment is first posted to a
header or interim account in the bank area. From here, the user assigns the posting
manually.
- An IHC payment order instead of a current account item is created for each bank
statement item.
Effects on Customizing
- Set Up Account Determination for Incoming Payment
- Define Transaction Types for Incoming Payment
10.1.3.8 Structural Changes in SAP In-House Cash IMG:
Use
As of SAP ECC 5.00, Financials Extension (EA-FIN 500) , you can find the implementation
guide (IMG) for SAP In-House Cash under the following path: SAP Customizing Implementation Guide -> Financial Supply Chain Management -> In-House Cash
There have been some significant changes made to the SAP In-House Cash IMG. To adopt
these changes into the project IMGs, you must regenerate the project IMGs.
Some IMG activities used up to now have been replaced by new IMG activities. This reflects
the fact that some application functions have been replaced.
Caution:
You cannot convert your existing Customizing for activities that have been replaced. When you
upgrade you have to set up a new implementation project.
For more information about using the IMG for SAP R/3 Enterprise Financial Services 2.00,
which is possible in certain exceptional cases, see the SAP In-House Cash upgrade guide.
______________________________________________________________
SAP AG 5
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 9/16
Deleted IMG Activities
- Area: Basic Settings
- Bank Area -> Act ivate Bank Area as In-House Cash Center
- Bank Area -> Maintain IHC Reference Number for Pairing Cross-Company Code Documents
- Area: Account Management -> Payment Processes in In-House Cash
- Payment Orders -> Manually Created Payment Orders
- Payment Orders -> Automatically Created Payment Orders
- Central Cash Receipt / Incoming Bank Statements -> Assign External
Business Transaction Code to Posting Types
- Cross-Bank Area Posting -> Set Route Determination
- Cross-Bank Area Posting -> Define Routes
- Cross-Bank Area Posting -> Display and Check Routing Sett ings
- Account Management -> Sett ings for Currency Conversion -> Store Diff erent Exchange Rate Type for Currency Conversion
- Account Management -> Sett ings for Currency Conversion -> Assign Balance Sheet Accounts for Currency Conversion
New Activities
- Area: Basic Settings
- Set Up Number Ranges for Log
- Authorizat ions for IHC Payment Orders -> Set Up Principle of Dual Control
- Authorizations for IHC Payment Orders -> Amount-Dependent Authorizations
- Bank Area -> Set Up Number Ranges for IHC Payment Orders
- Bank Area -> Set Up Container Fields for IHC Payment Orders
- Change Message Control (general message control)
- Business Add-Ins (BAdIs) -> Check for Manual Entry of IHC Payment Orders
- Area: Account Management -> Payment Processes in In-House Cash
- Define Transaction Types
- Define Clearing Partner
- Make Basic Settings for Payment Processes
- Define Default Setting for Transaction Type
- Define Transaction Type for Automatic Payments
- Outgoing Payment Orders -> Set Up Creation of Payment Requests f or
______________________________________________________________
SAP AG 6
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 10/16
Inbound IDoc in FI
- Outgoing Payment Orders -> Instructions for FI -> Define Instruction Codes for FI
- Outgoing Payment Orders -> Instructions for FI -> Define Instruction Keys
- Central Cash Receipt / Incoming Bank Statements -> Set Up Account Determination for Incoming Payments
- Central Cash Receipt / Incoming Bank Statements -> Define Transaction Types for Incoming Payments
- Cross-Bank Area Posting -> Set Up Route Determination
- Area: Periodic Tasks
- Transfer Financial Status to SAP Cash Management -> Set Up Financial Status
- Transfer Financial Status to SAP Cash Management -> Check Consistency of Settings
Moved IMG Activities
- Under Basic Settings the IMG activity, Change Message Control (specific message
control) was removed and placed under Account Management -> Payment Processes in In-House Cash -> Central Cash Receipt / Incoming Bank Statements.
Moved and Renamed IMG Activities
- The IMG activity, Set Up Connection to FI in IHC was removed from Account Management -> Payment Processes in In-House Cash -> Payment Orders . It was
renamed Set Up Business Transaction Events for SAP In-House Cash under Basic Sett ings -> Business Transact ion Events / Event Control.
Effects on System Administration
You may not be able to display notes for a number of structural nodes following an upgrade.
To reconnect to the notes, read SAP note 43709.
See also
Structural Changes in the Area Menu of SAP In-House Cash
SAP Financial Supply Chain Management (New)
10.1.3.9 Structural Changes to the Area Menu of In-House Cash:
Use
As of SAP ECC 5.00, Financials Extension (EA-FIN 500) , you can find the area menu for
SAP In-House Cash under the following path: SAP Menu -> Accounting -> Financial
______________________________________________________________
SAP AG 7
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 11/16
Supply Chain Management -> In-House Cash.
The SAP In-House Cash area menu has been changed in a number of essential points; some
functions have been replaced by new functions.
Nodes deleted with all functions
- Account Management -> Payment Requests
- Account Management -> Forward Order
- Environment -> Logs for IHC Processes
Renamed nodes
- Account Management Payment Order has been renamed IHC Payment Orders All transactions are new.
Nodes added with all functions
- Business Partners Previously under Corporate Finance Management
- Transfer Financial Status to CM
See also
Release notes:
- Structural Changes in the IMG of SAP In-House Cash
- SAP Financial Supply Chain Management (New)
10.1.4 FIN-FSCM-TRM Treasury and Risk Management
10.1.4.1 Treasury Deactivation
Use
The Treasury component is no longer available as of SAP ECC 5.00, Financials Extension
(EA_FIN 500). You will find the Cash Management functions under SAP Financial SupplyChain Management. Cash Budget Management has also been deactivated. The actual liquidity
analysis in Cash Budget Management is now part of the Liquidity Planner (liquidity calculation).
10.1.4.2 Changes to the Treasury and Risk Management Area Menu
Use
New Functions:
______________________________________________________________
SAP AG 8
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 12/16
In the Accounting area of foreign exchange trading, there are functions for executing and
reversing an accrual/deferral.
Deleted Functions:
In the area of Securities -> Back Off ice -> EMU Additional Functions , the following
transactions were removed from the area menu: Position Reconciliation, Execute Forex
Valuation, Reverse Forex Valuation and Generate Issue Currency Changeovers.
10 .1 .4.3 FIN-FSCM-TRM-TM Transaction Manager
10.1.4.3.1 GDPdU (German Principles of Data Access and Verifiability ofDigital Verification)
Use
As of SAP ECC 5.00, Financials Extension (EA_FIN 500), Treasury and Risk Management
provides you with a function to help you comply with the German principles of data access and
verifiability of digital verification (GDPdU).
Effects on Data Transfer
These legal requirements were first introduced in SAP ERP1.0 and are also available for use in
other releases by note: See notes 683810 and 691546.
10.1.4.3.2 Structural Changes to the IMG of Treasury and Risk Management
Use
New IMG Activities:
- Under General Settings -> Accounting -> Accrual/Deferral there is a new IMG activity,
Forex: Define Accrual/Deferral .
- You can now valuate futures positions in a one-step valuation per key date. Related
variation margin positions can, at the same time, be valuated per foreign exchange. In
addition, changes have been made to General Settings -> Accounting -> Key Date Valuation and Derived Business Transactions :
- For assigning update types for derived business transactions, new Futures fields have
been added to the Rate Gains/Losses tab page. The update types in fields 19 to 22
are used for rate gains/losses of the variation margin account and update types in
fields 22 and 23 are used for clearing the futures account.
- A new posting specification setting has been created within the evaluation procedure in
______________________________________________________________
SAP AG 9
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 13/16
one-step price valuation procedure.
- In addition, in the foreign currency valuation procedure, a new setting, components to
be valuated, has been created.
- A new tab page, one-step: separate balance sheet accounts, has been created for
update types for one-step price valuation.
- Fields V210, V211, R210 and R211 were added to the foreign currency valuation tab
page for update types for foreign currency valuation.
10.1 .4 .3 .3 FIN-FSCM-TRM-TM-TR Transaction Management
10.1.4.3.3.1 Various Enhancements in Hedge Management
Use
As of SAP ECC 5.00, Financials Extension (EA_FIN 500) you can avail of the following
functions in the area of Hedge Management:
- Automatic generation of data in Hedge Management (hedge plan, exposure, hedged item,
hedging relationship) when you create a currency option.
- New effectiveness measurement method, hypothetical derivative for options.
- New effectiveness measurement method, benchmark , where you can explicitly enter a
spread.
- BAPI for creating data in Hedge Management (hedge plan, exposure, hedged item, hedging
relationship).
- Integration of loans as exposure in Hedge Management.
10.1.4.3.3.2 New Product Types in Foreign Exchange Trading
Use
As of SAP ECC 5.00, Financials Extension (EA_FIN 500) you can use of the following
functions in the area of foreign exchange trading:
- Average Rate Option
- Basket Option
- Forward Volatility Agreement
______________________________________________________________
SAP AG 10
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 14/16
10.1 .4 .3 .4 FIN-FSCM-TRM-TM-AC Transfer to Financial Accounting
10.1.4.3.4.1 BAdI for Key Date Valuation
Use
As of SAP ECC 5.00, Financials Extension (EA_FIN 500) you can avail of the
IF_EX_TPM_VALUATION_PRICE BAdI interface.
The interface can be used to read security prices per key date that not only depend on the ID
number, price type, key date and exchange, but also on the valuation area, company code and
securities account.
10.1.4.3.4.2 Futures Valuation
Use
As of SAP ECC 5.00, Financials Extension (EA_FIN 500) you can run a one-step valuation of
future positions per key date. Related variation margin positions can, at the same time, be
valuated per foreign exchange.
10.1 .4 .4 FIN-FSCM-TRM-PA Portfolio Analyzer
10.1.4.4.1
Use
From SAP ECC 5.00 Financial Services (EA_FS 500), there is a report that you can use to
display a list of all the key figures and evaluation procedures that were defined for the results
database.
You can find the report in the IMG under Results Database , and in the application menu
under Evaluation Control -> Results Database .
For more information see the documentation for the IMG activity Monitor: Key Figures and
Evaluation Procedures.
Effects on Existing Data
Existing Customizing settings and results data are not effected.
______________________________________________________________
SAP AG 11
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 15/16
10.1 .4 .5 FIN-FSCM-TRM-MR Market Risk Analyzer
10.1.4.5.1
Use
From SAP ECC 5.00 Financial Services (EA_FS 500), there is a report that you can use to
display a list of all the key figures and evaluation procedures that were defined for the results
database.
You can find the report in the IMG under Results Database , and in the application menu
under Evaluation Control -> Results Database .
For more information see the documentation for the IMG activity Monitor: Key Figures andEvaluation Procedures.
Effects on Existing Data
Existing Customizing settings and results data are not effected.
10.1 .4 .6 FIN-FSCM-TRM-CR Credit Risk Analyzer
10.1.4.6.1
Use
As from SAP ECC 5.00 Financial Services (EA-FS 500), you can derive transactions for each
business partner. Previously, the system posted only the business partner of the original
transaction to Limit Management.
10.1.4.6.2
Use
As from SAP ECC 5.00 Financial Services (EA-FS 500), the link to Cash Management has been
extended as follows:
- Accounts are assigned to business partners. You enter the data required for this in the
application Assign Accounts to Business Partner (transaction KLMAP)
- The application Update Cash Management Data to Credit Risk (transaction RMCM) generates
the generic transactions, and then calls the application Start Postprocessing (transaction
KLNACHT2). In this second transaction, the Update Cash Management Data to Credit Risk
application transfers business partner data to the postprocessing function. In this way, the
limit utilizations of business partners are updated in Limit Management.
______________________________________________________________
SAP AG 12
Release Notes ______________________________________________________________
7/29/2019 Chap_10_FIN
http://slidepdf.com/reader/full/chap10fin 16/16
10.1.4.6.3
Use
As from SAP ECC 5.00 Financial Services (EA-FS 500), you can calculate the settlement risk
of money market transactions and loans. The new key figure 0015 (nominal amount + interest
cash flow for money market transactions; nominal amount for loans) has been provided for this.
Effects on Customizing
To be able to use key figure 0015, you need to add it to your Customizing settings.
To do so, you must first define a variable assignment ID in IMG activity Define Variable
Assignment ID (with variable 1 = 0015). In IMG activity Edit
Determination-Procedure-Specific Settings, you then add the relevant values for the variableassignment ID created for the key figure. Here the calculation base for key figure 0015 must
be 1 (VAR1).
______________________________________________________________
SAP AG 13
Release Notes ______________________________________________________________