TRM Dumps 2
TRM Dumps 2
TRM Dumps 2
Question. 1
Your organization would like to use the review process for bank accounts.In which SAP Fiori app
C. Manage Banks
Question. 2
Question. 3
When you execute the Automatic Payment Transactions for Payment Requests app, in which order
A. Enter payment parameters Run payment proposal Payment run – accounting entries Payment
B. Enter payment parameters Run payment proposal Payment run – create payment medium
C. Run payment proposal Enter payment parameters Payment run – accounting entries Payment run
D. Run payment proposal Enter payment parameters Payment run – create payment medium
Question. 4
You implement SAP Bank Communication Management with payment approval.After which
Question. 5
You implement hedge management and hedge accounting.Which of the following describes the
hypothetical derivative?
Question. 6
What are the available options when you configure the bank account revision process?Note: There
A. Activate sequentially
D. Activate directly
Question. 7
Which process steps are part of exposure management?Note: There are 2 correct answers to this
question.
D
Question. 8
You configure the SAP Business Workflow for Bank Account Management.Which steps are
required to set up this process?Note: There are 3 correct answers to this question.
B. Define approvers
BD
Question. 9
You are implementing Market Risk Analyzer and need to enable specific evaluation type settings
A. Valuation rules
B. Valuation areas
C. Valuation procedures
D. Valuation classes
Question. 10
Which of the following market data types can you import into the system?Note: There are 3
A. Discount factors
C. Security prices
D. Credit spreads
Question. 11
You work with preconverted currency data for liquidity planning in SAP Analytics Cloud.To which
A. Forecast
B. Budget
C. Planning
D. Actuals
Question. 12
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.
A. Hedge quotas
C. Market data
D. FX hedges
Question. 13
Which of the following must be configured to use Liquidity Planning?Note: There are 2 correct
Question. 14
Which item is part of the standing instructions for the counterparty role for a business partner?
A. Trading partner
C. Partner bank
Question. 15
C. Account determination
Question. 16
Regardless of configuration, by which criterion are payment requests always grouped in the
B. Payment approver
C. Payment currency
D. House bank
Question. 17
You are working with security transactions. The position is the basis for which of the following?
A. Valuation flows
B. Correspondence
Question. 18
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.
A. Currency
B. Partner
C. Organization
D. Account
E. Measure
Question. 19
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.
Question. 20
You configure SAP Bank Communication Management in SAP S/4HANA. You want to derive the
payment approvers from Bank Account Management.Which configuration option must be set to
Question. 21
Where are the monitoring rules for the intraday bank statements assigned?Note: There are 2
Question. 22
You have customized the system for hedge accounting under IFRS.During period-end activities,
which of the following amounts of the hedging instrument (HI) does the system post to equity
(OCI)?
A. For cash flow hedges, the effective portion of the gain or loss of the HI
B. For cash flow hedges, the non-effective portion of the gain or loss of the HI
C. For fair value hedges, the effective portion of the change in fair value of the HI
D. For fair value hedges, the non-effective portion of the change in fair value of the HI
Question. 23
In which SAP Fiori app can you maintain the minimum transfer amount for the cash pools?
Question. 24
You are implementing Credit Risk Analyzer.Which of the following describes counterparty
Question. 25
What are the key components included in the Hedge Management Cockpit?Note: There are 3
A. Exposures
B. Hedge requests
C. Hedging scenarios
D. Accounting principles
E. Hedging instruments
Question. 26
You configure a new foreign exchange product and want automatic settlement on counter
A. Product type
B. Activity category
C. Transaction type
D. Forex attributes
Question. 27
Your company experiences low automatic reconciliation for incoming payments. You therefore
decide to use machine learning to improve the clearing automation.What do you use to support
Question. 28
You are in the process of replacing LIBOR with one of the risk-free rates (RFRs).What are the new
interest calculation types with the parallel interest conditions?Note: There are 2 correct answers
to this question.
Question. 29
You are using Credit Risk Analyzer.At what point is the single transaction check executed for a
Which settings can be configured to generate outgoing correspondence?Note: There are 3 correct
A. Transaction type
B. Product type
C. Activity category
E. Processing category
Question. 31
Which of the following procedures are supported when configuring the accrual/deferral
A. Difference
B. Partial
C. Reset
D. Amortization
Question. 32
You are preparing a handbook for testers on the SAP Hedge Management application for foreign
A. After the decision on a hedging instrument is final Before you process the hedging instrument
B. After you determine the hedging requirements Before the decision on a hedging instrument is
final
C. After you create the hedging area Before you release the raw exposure
D. After you capture raw exposure data Before you conclude the hedging contract
Question. 33
Which elements control account determination for Transaction Manager deals?Note: There are 3
A. Valuation area
B. Update type
C. Condition type
D. Portfolio
Question. 34
Which activity categories can you configure to initiate the deal release workflow for a money
A. Rollover
C. Contract
D. Fixing
E. Underlying
Question. 35
You want to post subscription rights for a capital increase.Which function would you use?
Question. 36
What are some factors to consider when creating a house bank for your company code?Note:
Question. 37
You want to automatically allocate funds from the global headquarters level down to the lower
level subsidiaries.How can you perform this task in your planning sheet on SAP Analytics Cloud?
A. Distributing funds
B. Spreading funds
C. Deriving funds
D. Allocating funds
Question. 38
What are some factors to consider when using flow types in SAP Cash Management?Note: There
Question. 39
Which of the following are ways to get data to SAP Analytics Cloud?Note: There are 2 correct
A. Live connection
C. Replication
D. Data migration
Question. 40
You are building a planning model in SAP Analytics Cloud. Which settings do you need to specify
for currency conversion? Note: There are 2 correct answers to this question.
A. Currency unit
B. Default currency
C. Parallel currencies
D. Currency dimension
Question. 41
Which cash management attributes are defined in the G/L account master record?Note: There are
A. Planning group
B. Certainty level
C. Planning level
Question. 42
D. Condition groups
Question. 43
Which of the following key figures are included in the Hedge Management Cockpit?Note: There
A. Hedge quota
B. Designation types
C. Hedging profile
D. Target quota
E. Amount to hedge
Question. 44
You want to use the SOFR risk-free rate (RFR).For which product categories can parallel interest
A. 600 - FX Transaction
B. 040 - Bonds
You are configuring workflow processes for Bank Account Management.What options do you have
to group a mass change request when workflows are enabled?Note: There are 2 correct answers
to this question.
A. Bank country
B. Account currency
C. Company code
D. Account type
Question. 46
Which types of payments can be processed with the Automatic Payment Transactions for Payment
A. Mobile payments
C. Payroll payments
D. Freeform payments
Question. 47
When defining a payment method, which of the following can you set?Note: There are 2 correct
A. Number of payments
Question. 48
You are implementing Market Risk Analyzer.What can you achieve when you use the results
B. Combine sensitivity per basis point and net present value in one report
Question. 49
Which cash pool type is supported using the Manage Cash Pools SAP Fiori app?
A. Notional
B. Internal
C. Physical
D. Centralized
Question. 50
New company codes have been added recently. You want to include the cash flow data for these
company codes in One Exposure so the data is reflected in the SAP Cash Management
reports.After you activate the Financial Operations source application for each company code,
what additional steps must be performed?Note: There are 3 correct answers to this question.
Question. 51
When entering a trade, you can add the differentiation-relevant account assignments.Which of
the following are the additional account assignments available for differentiating treasury
A. Business area
B. Profit center
C. Internal order
D. Fund
E. WBS element
Question. 52
Your customer requires you to create a two-step approval process. All payment approver groups
must receive the workflow approval request at the same time.Which approval sequence will you
Question. 53
payments in the payment run are routed through SAP Bank Communication Management?
D. Payment method
Question. 54
Which G/L account type must be set when working with the bank reconciliation ledger?
A. Cash account
Question. 55
You are implementing the SAP Hedge Management application for foreign exchange (FX) and
hedge accounting functionality. You define a hedging profile that is used for the definition of the
hedging area.What parameters are driven by the hedging profile?Note: There are 2 correct
A. Designation types
B. Product types for exposure subitems
Question. 56
You are configuring the correspondence settings for a business partner group.Which settings can
B. Automatic correspondence
Question. 57
You are configuring the planned record update strategy for variable interest rate security
instruments. This strategy determines the value to be used for displaying the variable interest rate
flows that have not yet been adjusted in the cash flow.Which of the following strategies are
Question. 58
Which of the following acts as the account dimension in your liquidity planning model?
A. Company code
B. Liquidity item
C. Time
D. Bank account
Question. 59
Which financial account types require rate type CLOSING when using currency conversion in a
A. Assets (AST)
B. Expense (EXP)
C. Liabilities (LEQ)
D. Income (INC)
Question. 60
Which of the following functions are performed in Credit Risk Analyzer?Note: There are 2 correct
D. Value-at-risk calculation
Question. 61
Which product types are part of the Money Market submodule?Note: There are 3 correct answers
to this question.
A. Letters of credit
B. Commercial paper
E. Subscription rights
Question. 62
You are preparing scenarios in Market Risk Analyzer for testing purposes.Which market data can
you use to create scenarios?Note: There are 2 correct answers to this question.
A. Security prices
B. Yield curves
C. Correlations
D. Default rates
Question. 64
You are using Credit Risk Analyzer.Which type of risk can be tracked?
A. Settlement risk
B. Liquidity risk
D. Inflationary risk
Question. 65
You are interested in the total number and amount of incoming and outgoing payments at your
house bank in the last 60 days.Which SAP Fiori app would you use to monitor this kind of
information?
Question. 66
Your current payment outflows meet all netting requirements.Which Transaction Manager flows
can you link through netting?Note: There are 3 correct answers to this question.
Question. 67
When deriving liquidity items, the system first tries to apply the assigned query sequences.In
which use cases is a query sequence required to derive liquidity items?Note: There are 3 correct
C. To derive liquidity items from source applications such as Treasury and Risk Management
Question. 68
You are testing a current-account style transaction.Which of the following are some of the
characteristics of this product type?Note: There are 3 correct answers to this question.
E. Increase/decrease amounts
Question. 69
You want to use the basic cash management capability in SAP S/4HANA.Which functional features
are provided with this setup?Note: There are 3 correct answers to this question.
E. Manage workflows
Question. 70
Which of the following are types of hedging area?Note: There are 2 correct answers to this
question.
A. Reference-based
B. Period-based
C. Risk-based
D. Rule-based
Question. 71
You are configuring Credit Risk Analyzer.What must you do to activate the single transaction check
Question. 72
For self-initiated payments (SIP) in combination with the bank reconciliation ledger, which
configuration tasks are used to determine the G/L clearing account?Note: There are 2 correct
Question. 73
A. Certainty level
D. Planning level
Question. 74
Question. 75
You are working with a private version of your liquidity planning sheet in SAP Analytics
Cloud.Which option would you choose to save it with a different category under a new public
version?
A. Publish
B. Share as
C. Share
D. Publish as
Question. 76
What does the Manage Banks SAP Fiori app allow you to do?Note: There are 2 correct answers to
this question.
A. Create, edit, and delete bank accounts and house bank accounts.
B. Navigate to other SAP Fiori apps, such as Manage Bank Statements and Cash Flow Analyzer.
D. Associate house banks, contact persons, and business partners with your banks.
Question. 77
You are centralizing your SAP S/4HANA Finance for cash management processes and bringing in
data from a non-SAP remote finance system.When you maintain the connectivity path for remote
bank accounts, what are the fields of the input file that are part of the bank cash balance
B. Value date
C. Account ID
D. Bank key
Question. 78
Which of the following are features of the analysis structure in Market Risk Analyzer?
A. The analysis structure is the basis for market and credit risk reporting.
Question. 79
Which source applications use origin X when defining queries and query sequences?Note: There
Question. 80
You are working with Market Risk Analyzer.Which methods are available to capture characteristic
values in the analysis structure for the trade (financial object)?Note: There are 2 correct answers
to this question.
A. Manual input
C. Direct interface
D. Derivation strategy