We are happy to support SAP and invite you to attend their IFG for Finance - Webinar on Treasury and Financial Risk Management.
This session will provide you a holistic and business-driven overview of the treasury applications from SAP, starting with SAP Cash and Liquidity Management and SAP Bank Communication Management. We’ll examine the possibilities that SAP In-House Cash can deliver to your corporation and the broad functionality of SAP Treasury and Risk Management, as well as recent innovations and legal enhancements in various areas. Finally this session will provide you with information on how
SAP HANA technology enables you to run your Treasury faster, simpler and smarter.
What you will learn:
- Discover more about our solutions in the area of cash and liquidity and how you can optimize in-house and external payment processes
- Explore new capabilities in the area of Cash Management provided by SAP HANA technology
- Learn how seamless we process treasury deals from deal capturing in front office or on market places via deal confirmation and settlement process to accounting
- Gain a basic understanding of how our risk management is designed and its ease of handling
- Get insight into the possibilities you get with SAP to comply with legal regulations such as EMIR and IFRS changes
- Get familiarized with the solution roadmap for Treasury applications from SAP leveraging the power of SAP HANA
If you would like to attend this webinar please view the dial in details pdf at the bottom of this page (you will need to be logged in with your username and password to view the file)
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