SAP C-S4FTR-2020 exam is designed for professionals who have experience in the field of treasury management and are seeking to enhance their skills and knowledge in this area. SAP Certified Application Associate - Treasury with SAP S/4HANA (SAP S/4HANA 2020) certification exam focuses on the use of SAP S/4HANA software for treasury management processes, including risk management, cash management, liquidity management, and bank account management.
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Achieving the SAP C_S4FTR_2020 certification demonstrates that an individual possesses the necessary skills and knowledge to work as a SAP S/4HANA treasury management consultant. SAP Certified Application Associate - Treasury with SAP S/4HANA (SAP S/4HANA 2020) certification is recognized globally and can provide individuals with a competitive advantage in the job market. Additionally, SAP certification holders are often sought after by employers, as they are seen as experts in their field and have demonstrated their commitment to ongoing professional development.
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SAP C_S4FTR_2020 certification exam covers topics such as cash and liquidity management, risk management, bank account management, financial instruments, and transaction management. C-S4FTR-2020 exam also tests the candidate's understanding of the integration between treasury management and other SAP modules such as financial accounting and controlling, materials management, and sales and distribution. SAP Certified Application Associate - Treasury with SAP S/4HANA (SAP S/4HANA 2020) certification exam is based on the latest version of SAP S/4HANA (2020), which ensures that the certified professionals are up-to-date with the latest technology and industry trends.
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SAP C-S4FTR-2020 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Topic 1: Financial Risk Management | 12% | - Market risk analysis - Credit risk analysis - Configuration of risk analyzers |
| Topic 2: Bank Account Management | 12% | - Bank account monitoring processes - Central bank account repository |
| Topic 3: Cash Operations | 12% | - Day-to-day cash management processes - Business process overview - Configuration settings |
| Topic 4: Hedge Management and Hedge Accounting | 8-12 | - Exposure management - Hedge accounting per IFRS and GAAP - FX hedge management |
| Topic 5: Liquidity Management | 12% | - Mid-to-long term liquidity planning - Liquidity actuals determination |
| Topic 6: Transaction Manager | 12% | - Back-office processing - Front-office trade entry - Accounting and valuation |
| Topic 7: Payment Processing | 8-12 | - Approval workflows - Payment processing in Transaction Manager - Payment processing in Cash Operations |







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