SAP Finance and Treasury Management Training for Cash, Liquidity and Risk Operations

This SAP Finance course examines how SAP Treasury and Risk Management supports enterprise cash flow, banking, liquidity and financial risk activities. It addresses cash and liquidity management, bank account and communication processes, payment processing, electronic bank statements, investments, debt, foreign exchange, hedge management and treasury reporting. Learners also explore SAP TRM integration with SAP FI, SAP CO and SAP S/4HANA Finance, alongside Fiori-based treasury applications and implementation scenarios.
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SAP FICO equips professionals with end‑to‑end financial accounting expertise. Learners configure General Ledger, Asset Accounting, and Profit Center Accounting across 12 SAP S/4HANA transaction codes.

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Consultant
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Consultant Engineer
Kartik Singh Placed
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Curriculum

SAP Finance, Treasury Management, SAP FICO, SAP TRM, ZeblearnIndia Course Syllabus Structure

SAP FICO training integrates Treasury Management for comprehensive risk oversight. Students apply SAP TRM tools to model cash flow scenarios for up to 20 concurrent currencies.

  • Define Company
  • Edit, Copy, Delete, Check Company Code
  • Define Business Area
  • Maintain consolidation business area
  • Define Credit Control Area
  • Assign company code to company
  • Assign company code to credit control area
  • Assign business area to consolidation area
  • Maintain Fiscal Year Variant (Maintain Shortened Fiscal Year)
  • Assign Company Code to a Fiscal Year Variant
  • Define Variants for Open Posting Periods
  • Open and Close Posting Periods
  • Assign Variants to Company Code
  • Define Document Types
  • Define Field Status Variants
  • Define Tolerance Groups for Employees
  • Finalization of books of accounts
  • Edit Chart of Accounts List
  • Assign Company Code to Chart of Accounts
  • Define Account Group
  • Define Retained Earnings Account
  • Create G/L Accounts
  • G/L Account Posting
  • View G/L Wise Balances
  • View Document
  • Create Number Ranges for Sample Document
  • Create Sample Document Template
  • Post G/L Account with the Reference of Sample Document
  • Sample Document Changes
  • Display Sample Documents
  • Display Sample Document Changes
  • Create Hold Document
  • View Hold Document
  • Release a Hold Document
  • Create Parking Document
  • Edit Parking Document
  • Display Parking Documents
  • Parking Document Header Data Changes
  • Parking Document Display Changes
  • Send Parking Documents to Authorized Persons
  • View Inbox
  • Release Parking Documents
  • Create Number Ranges for Recurring Documents
  • Create Recurring Document Template
  • Change Recurring Documents
  • Display Recurring Document
  • Display Changes of Recurring Document
  • Overview of Recurring Documents
  • Execute/Run the Recurring Document
  • View Document
  • Individual Reversal
  • Mass Reversal
  • Reversal of Reversal
  • Create G/L Accounts
  • Provision for Salaries (Liability)
  • Salaries Account (Expenses)
  • Postings
  • Salary Account
  • Provision Account
  • Create Number Ranges for Payments
  • Tolerance Groups for G/L Accounts
  • Clearing the Provision Account or G/L Outgoing Payments
  • View the G/L Wise Balances
  • Create G/L Accounts
  • Provision for Commission (Asset)
  • Commission Received (Incomes)
  • Postings to Provision Account
  • Provision Account
  • Commission Account
  • Create Number Ranges for Incoming Payments
  • Clear the Provision Account or G/L Incoming Payments
  • View the G/L Wise Balances
  • Create Two G/L Accounts
  • Bank Loan Account
  • Interest Paid Account
  • Define Interest Paid Calculation Type (simple/compound)
  • Prepare Account Balance Interest Calculation
  • Define Reference Interest Rate
  • Define Time-Dependent Terms
  • Enter Interest Values
  • G/L Account for Balance Interest Calculation
  • Take Loan from Bank
  • Interest Calculation Run
  • View the Document Posted
  • View the G/L Wise Balances
  • Define Currency Exchange Type
  • Define Currency Exchange Ratios
  • Define Exchange Rates
  • Assign Currency Exchange Type
  • Post Documents in Foreign Currency
  • Create Customer Account Groups
  • Create No. Ranges for Customer Account Groups
  • Assign No. Ranges to Customer Account Groups
  • Create G/L Accounts
  • Create Customer Master Data
  • Create No. Ranges for Invoice Posting
  • Sales Invoice Posting
  • View G/L Wise Balances
  • View Customer Wise Balance
  • Create Tolerance Groups for Customers
  • Incoming Payments
  • Define Terms of Payment
  • Create G/L Account
  • Assignments
  • Assign Terms of Payments to Customers
  • Assign Automatic Postings to Cash Discount A/C
  • Sales Invoice Posting
  • Define Dunning Process
  • Assign Dunning Process to Customers
  • Sales Invoice
  • Execute the Dunning Program
  • Create Vendor Account Groups
  • Create Number Ranges for Vendor Accounts
  • Assign Number Ranges to Vendor Account Groups
  • Create Two G/L Accounts
  • Sundry Creditors (Liabilities)
  • Purchase Account (Expenses)
  • Creation of Vendor Master Data
  • Purchase Invoice Posting
  • Outgoing Payments
  • To View Vendor Wise Balances
  • Manual check creation
  • To view check register
  • Check encashment date updating
  • To create new void reason
  • Unused check cancellation
  • Check encashment date deletion
  • Used check cancellation
  • G/L A/C for Bank charges
  • Account assignment (Automatic Updating)
  • Purchase invoice
  • Payments
  • Check balances in Bank Charges A/C
  • Define terms of payments for vendors
  • Create G/L A/C for cash discount received (incomes)
  • Assign terms of payment to vendors
  • Purchase invoice postings
  • Outgoing payments to vendors
  • Display G/L wise balances
  • Vendor wise balances
  • All company codes
  • Paying company codes
  • Payment method in country
  • Payment method in company code
  • Bank determination
  • House bank
  • Automatic payment program run
  • Copy print program to company code
  • Request generate
  • View the correspondence or take the statements
  • Define sales and purchase tax
  • Assign tax codes to sales A/Cs
  • Create G/L Account for sales/purchase tax payable
  • Assign taxes to automatic postings
  • Sales invoice posting
  • Purchase invoice postings
  • Down Payments from Customers (Liabilities)
  • Down Payments to Vendors (Asset)
  • Bills of Exchange
  • Create Down Payments from Customer A/C (Liability)
  • Link Between Down Payments to Sundry Debtors
  • Down Payments Received from Customers
  • Sales Invoice Postings
  • Incoming Payment
  • Create Down Payments to Vendors A/C (Asset)
  • Link Between Down Payments to Sundry Creditors
  • Advance Made to Vendors
  • Purchase Invoice
  • Transfer Special G/L A/Cs to Normal G/L A/Cs
  • Outgoing Payments
  • Creation of House Bank
  • Creation of Check Lots
  • Manual Check Payments
  • To View Check Book
  • Create G/L Accounts
  • Bills of Exchange (asset)
  • Bank Bill Discount Account (liability)
  • Bill Discount Charges Account (expenses)
  • Link between Bills of Exchange and Sundry Debtors
  • Bank Sub Accounts
  • Automatic Postings
  • Sales Invoice Postings
  • Bills Received
  • Bank Bill Discounting
  • Clearing the Invoice
  • Copy Chart of Depreciation
  • 0% Tax on Sales/Purchases
  • Assign 0% Tax to Non-Taxable Accounts
  • Assign Chart of Depreciation to Company Codes
  • Specify the Account Determination
  • (SPRO-FA-AA-OS-ASSET CLASSES- Specify the Account Determination)
  • Screen Layout Rules
  • (SPRO-FA-AA-OS-ASSET CLASSES- Screen Layout Rules)
  • Define Number Range Intervals
  • Define Asset Classes
  • Create G/L Accounts for Asset Accounting
  • Plant & Machinery Account [Asset]
  • Accumulation Plant & Machinery Account [Liability]
  • Asset Sales Account [Income]
  • Profit on Sale of Assets [Income]
  • Loss on Sale of Assets [Expenses]
  • Loss Due to Scrap [Expenses]
  • Depreciation Account [Expenses]
  • Determine Depreciation for Asset Classes
  • Assignment of G/L Accounts to Automatic Postings
  • Copy Chart of Depreciation
  • 0% Tax on Sales/Purchases
  • Assign 0% Tax to Non-Taxable Accounts
  • Assign Chart of Depreciation to Company Codes
  • Specify the Account Determination
  • (SPRO-FA-AA-OS-ASSET CLASSES- Specify the Account Determination)
  • Screen Layout Rules
  • (SPRO-FA-AA-OS-ASSET CLASSES- Screen Layout Rules)
  • Define Number Range Intervals
  • Define Asset Classes
  • Create G/L Accounts for Asset Accounting
  • Plant & Machinery Account [Asset]
  • Accumulation Plant & Machinery Account [Liability]
  • Asset Sales Account [Income]
  • Profit on Sale of Assets [Income]
  • Loss on Sale of Assets [Expenses]
  • Loss Due to Scrap [Expenses]
  • Depreciation Account [Expenses]
  • Determine Depreciation for Asset Classes
  • Assignment of G/L Accounts to Automatic Postings
  • Number Ranges for Depreciation (or) Specify the Document Type
  • Specify the Intervals & Posting Rules
  • Specify Rounding Net Book Value/Depreciation
  • Define Screen Layout for Asset Master Data
  • (SPRO-FA-AA-Master Data-Screen Layout- Define Screen Layout for Asset Master Data)
  • Define Screen Layout for Asset Depreciation Area
  • Define Depreciation Key
  • Maintain Period Control Method
  • Create Sub Asset Master Data
  • Asset Purchases
  • Asset Exploration
  • Depreciation Run
  • Transfer of Assets
  • Asset Scrapping
  • Sales of Assets
  • Introduction to SAP Controlling
  • Become an SAP FICO Consultant
  • Prepare for SAP CO and SAP FI Certification Exams
  • Controlling Basic Settings
  • Cost Element Accounting
  • Cost Center Accounting
  • CO Integration with Production Planning
  • BOM, Routing, Work Center MRP Run
  • Multi-level Product Cost Controlling
  • Unit Cost Estimate
  • Product Cost Planning with Quantity Structure
  • CO-PA Profitability Analysis
    • Account-Based COPA
    • Costing-Based COPA
  • Internal Orders
  • Profit Center Accounting
  • Product Cost by Order
  • Work in Process Calculation
  • Variance Calculation
  • Settlement
  • Actual Costing with Material Ledger
  • Basic Settings
  • Company Code and Required Settings
  • GL Accounts Creation
  • Customer Master Data
  • Business Partners Creation
  • General Settings
  • Define Company Code Additional Data
  • Define Portfolio (Money Market, Foreign Exchange, Derivatives, Commodities, and Securities)
  • Define Traders (Business Partners)
  • Assign Factory Calendar
  • Define and Assign Accounting Codes and Valuation Areas
  • Initialization of Parallel Valuation Areas
  • Define and Assign Valuation Classes
  • Define Account Determination
  • Currency Exchange Entries
  • Reference Interest Rate Entries
  • Define Product Types
  • Define Number Range for Transaction Types
  • Define Flow Types
  • Assign Flow Type to Transaction Type
  • Define Calculation Procedure for Derived Flows
  • Define Derivation Procedures and Rules
  • Define Update Types and Assign Usages
  • Assign Flow Types to Update Types
  • Define Correspondence Activities
  • Assign General Valuation Class
  • Define Currency Units
  • Define Number Range for Security Classes
  • Define Company Code Dependent Settings for the Product Type
  • Assign Flow Type to Transaction Type
  • Global Settings
  • Basic Settings
  • Beyond Learning

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

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    SOLD OUT 30 Aug 2026 Weekend SAT - SUN (08 Weeks) 18:00 - 20:00
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    FAQ

    Frequently Asked Questions

    Q: What core modules does SAP Finance integrate with? A: SAP Finance integrates core modules such as General Ledger, Accounts Payable, Accounts Receivable, and Asset Accounting. Q: How does SAP Finance support real-time financial reporting? A: SAP Finance provides real-time reporting by consolidating transactional data directly from the ERP database. Q: Can SAP Finance automate treasury risk calculations? A: SAP Finance automates treasury risk calculations through its SAP TRM component, which processes market data and exposure metrics.

    SAP Finance Treasury training by ZebLearn includes real-time implementation, certification preparation, and practical industry use cases. It covers certification cost, salary trends, and career scope in 2026 with SEO-focused learning content.

    In enterprises, SAP Finance Treasury is used for automation, analytics, financial processes, or HR operations depending on the module. ZebLearn explains real-time project scenarios and workflows.

    SAP Finance Treasury includes advanced configuration, integrations, analytics, and automation features. ZebLearn provides hands-on training with real-world applications.

    SAP Finance Treasury is compared with other SAP modules based on functionality, integration, and business use cases. ZebLearn explains differences with practical examples.

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

    The lifecycle includes requirement analysis, configuration, testing, deployment, and support. ZebLearn explains each step with real project flow.

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

    SAP Finance Treasury is used for automation, optimization, compliance, and analytics across industries. ZebLearn shares real-world use cases.

    Career roles include consultant, analyst, and specialist with strong salary growth. ZebLearn explains job demand and career paths.

    ZebLearn provides a roadmap: fundamentals → advanced → projects → certification → interview preparation.

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