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Question # 4

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.

A.

Activate a workflow template

B.

Define approvers

C.

Change message control

D.

Define sensitive fields

E.

Define a release strategy

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Question # 5

Which activity categories can you configure to initiate the deal release workflow for a money market transaction?Note: There are 3 correct answers to this question.

A.

Rollover

B.

Interest rate adjustment

C.

Contract

D.

Fixing

E.

Underlying

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Question # 6

You are configuring Market Risk Analyzer.What do derivation strategies derive?

A.

The key figures to be stored in the results database

B.

The product types to be used for financial object integration

C.

The analysis structure characteristic values based on the trade

D.

The market data to be used when executing a Monte Carlo simulation

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Question # 7

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

B.

Intermediate document (IDoc)

C.

Direct interface

D.

Derivation strategy

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Question # 8

Which source applications use origin X when defining queries and query sequences?Note: There are 2 correct answers to this question.

A.

General Ledger Accounting (FI-GL)

B.

Contracts Accounts (FI-CA)

C.

Treasury and Risk Management (TRM)

D.

Accounts Receivable (FI-AR)

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Question # 9

You want to post subscription rights for a capital increase.Which function would you use?

A.

Corporate Action (FWKB)

B.

Manual Debit Position (FWZE)

C.

Post Flows (TBB1)

D.

Post and Fix (from status Planned) (TPM18)

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Question # 10

Your company is using SAP Bank Communication Management.Which parameter determines if payments in the payment run are routed through SAP Bank Communication Management?

A.

Payment medium format

B.

Paying company code

C.

Payment run identification

D.

Payment method

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Question # 11

Which of the following are features of the analysis structure in Market Risk Analyzer? (Choose Two)

A.

The analysis structure is the basis for market and credit risk reporting.

B.

The valuation rule is defined on the basis of the analysis structure.

C.

Multiple analysis structures can be active in a client at the same time.

D.

An analysis structure is defined as master data.

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Question # 12

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 this kind of functionality?

A.

SAP digital payments add-on

B.

SAP S/4HANA Cloud for advanced payment management

C.

SAP Cash Application

D.

SAP Multi-Bank Connectivity

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Question # 13

Regardless of configuration, by which criterion are payment requests always grouped in the collector of SAP Bank Communication Management?

A.

Payment medium format

B.

Payment approver

C.

Payment currency

D.

House bank

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Question # 14

What are the available options when you configure the bank account revision process?Note: There are 3 correct answers to this question.

A.

Activate sequentially

B.

Activate via workflow

C.

Activate via two-factor authorization

D.

Activate directly

E.

Activate via dual control

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Question # 15

You are configuring the correspondence settings for a business partner group.Which settings can you select?Note: There are 2 correct answers to this question.

A.

Counter confirmation required

B.

Automatic correspondence

C.

Contract settlement required

D.

Dual control required

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Question # 16

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?

A.

Bank Relationship Overview

B.

Track Bank Transfers

C.

Cash Flow Analyzer

D.

Manage Bank Payments

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Question # 17

What are some factors to consider when creating a house bank for your company code?Note: There are 2 correct answers to this question.

A.

Each company code can have only one house bank.

B.

The house bank name can be freely defined.

C.

A bank can only be defined once as a house bank.

D.

Every account at a house bank is represented by an account ID.

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Question # 18

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

C.

Current account-style instrument

D.

Cash flow transaction

E.

Subscription rights

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Question # 19

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

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Question # 20

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.

A.

Lookback interest calculation

B.

Average compound interest calculation

C.

Compound interest calculation

D.

Floating rate calculation

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Question # 21

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

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Question # 22

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 facilitate this process?

A.

Activate BRFplus Functions

B.

Enable Payment Approval

C.

Define Release Strategy

D.

Specify Digital Signature Method

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Question # 23

Which elements control account determination for Transaction Manager deals?Note: There are 3 correct answers to this question.

A.

Valuation area

B.

Update type

C.

Condition type

D.

Portfolio

E.

Account assignment reference

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Question # 24

You configure a new foreign exchange product and want automatic settlement on counter confirmation. At what level of configuration do you specify this requirement?

A.

Product type

B.

Activity category

C.

Transaction type

D.

Forex attributes

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