SAP Cash Management Training for Liquidity and Treasury Operations

SAP Cash Management Training examines how SAP CM supports centralized cash visibility, liquidity planning, and banking processes within SAP S/4HANA Finance. The course explores cash position management, liquidity forecasts, bank account and house bank configuration, memo records, cash concentration, electronic bank statements, reconciliation, and payment processing. It also addresses integration with SAP FI, CO, Treasury and Risk Management, Bank Communication Management, Fiori, SAP Analytics Cloud, and SAP BTP for enterprise treasury reporting and decision-making.
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Consultant Engineer
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Curriculum

SAP Cash Management Training, ZeblearnIndia, SAP CM, SAP S/4HANA cash management, finance professionals Course Syllabus Structure

SAP Cash Management (SAP CM) Training delves into cash positioning, bank communication, and liquidity forecasting. Participants configure the SAP Treasury and Risk Management (TRM) cockpit using real SAP S/4HANA data sets.

• Overview of cash management and liquidity concepts
• Business importance of cash visibility and control
• Evolution from classic Cash Management to S/4HANA
• Positioning within Finance and Treasury
• End-to-end cash management lifecycle

• S/4HANA Cash Management framework
• One Exposure from Operations concept
• Integration with FI, MM, SD, and Treasury
• Real-time data processing and analytics
• Architecture supports instant liquidity insight

• Bank account management overview
• House banks and bank account configuration
• Cash-relevant G/L accounts
• Liquidity item hierarchy
• Master data ensures accurate cash reporting

• Cash flow structure and planning horizon
• Short-term and mid-term liquidity forecast
• Actuals vs commitments vs forecasts
• Planning levels and time buckets
• Forecasting supports proactive cash decisions

• Cash position vs liquidity position
• Bank balances and cash pools
• Drill-down and aggregation views
• Currency handling and valuation
• Analysis provides real-time cash visibility

• Incoming payments from Accounts Receivable
• Outgoing payments from Accounts Payable
• Open items and due-date relevance
• Payment run impact on cash forecast
• Integration ensures end-to-end cash accuracy

• Overview of liquidity management
• Cash flow forecasting
• Short-term liquidity planning
• Medium and long-term planning
• Cash concentration
• Scenario-based analysis

• Real-time cash position
• Forecasting methods
• Bank balance monitoring
• Payment inflow and outflow
• Data sources for forecasting
• Reporting tools

• Bank statement processing
• Electronic bank statement
• Payment file formats
• Integration with banks
• SWIFT overview
• Monitoring transactions

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SAP CASH MANAGEMENT (SAP CM) TRAINING
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SAP Cash Management (SAP CM) Training includes scenario‑based quizzes that test end‑to‑end cash cycle execution. Scores above 80% unlock a simulated live‑bank integration exercise.

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SAP Cash Management (SAP CM) Training grants access to a private Slack channel with SAP treasury experts. Members also receive a library of pre‑built SAP Fiori apps for cash monitoring.

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Participate in expert-led mock interviews and skill evaluation sessions after program completion.

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SAP Cash Management Training for Liquidity and Treasury Operations — Flexible Batches For You

StatusDateTypeScheduleTime
SOLD OUT 30 Aug 2026 Weekend SAT - SUN (08 Weeks) 18:00 - 20:00
FILLING FAST 4 Sep 2026 Weekday MON - FRI (08 Weeks) 08:00 - 10:00
AVAILABLE 9 Sep 2026 Weekend SAT - SUN (08 Weeks) 10:00 - 12:00
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FAQ

Frequently Asked Questions

Q: What core concepts does SAP Cash Management Training cover? A: SAP Cash Management Training teaches cash positioning, forecasting, and liquidity reporting within SAP S/4HANA. Q: How does SAP Cash Management Training benefit finance professionals? A: It equips finance professionals with the ability to automate cash flow analyses and reduce manual reconciliation effort. Q: Is Zeblearn's SAP Cash Management Training suitable for SAP consultants? A: Yes, the curriculum provides SAP consultants with configuration techniques for SAP CM modules in S/4HANA.

SAP Cash Management training by ZebLearn covers real-time implementation, certification preparation, and industry use cases. It includes certification cost insights, salary trends, and career opportunities in 2026.

SAP Cash Management is used in enterprises for automation, analytics, integration, or financial/HR operations. ZebLearn explains real-time project scenarios and workflows.

SAP Cash Management includes advanced configuration, integrations, analytics, and automation features explained with practical use cases.

SAP Cash Management is compared with similar SAP modules based on functionality, integration, and enterprise use cases for better understanding.

Skills include configuration knowledge, business understanding, integrations, and troubleshooting. ZebLearn builds these through structured learning.

Lifecycle includes requirement gathering, configuration, testing, deployment, and support phases with real project flow.

Challenges include integration complexity, performance issues, and configuration errors. ZebLearn provides solutions and best practices.

SAP Cash Management is used for automation, compliance, analytics, and optimization across industries with real-world examples.

Career roles include SAP consultant, analyst, and specialist with strong salary growth and industry demand.

ZebLearn roadmap: basics → advanced → projects → certification → interview preparation with hands-on practice.

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