Cash Managment forecast

Hi CM Guru,
I am new to cash management, could you tell me what the point indicate? I am not sure after running the report, what  the data in the cell in each timeframe.
regards,
Kick

hi,
After you run the report there are 2 things possible. IF  you have currency overview option selected yo will se on left hand column all currencies and the amounts in the cells would be the planning amounts for the respective date (in the column header) for that currency. From there you can drill down to the planning levels for each currency. (If currecny overview is not selected then you will see levels directly.) Keep double clicking on the cells and the final level you will reach the posted documents.
Hope this helps you.
Regards,
Pranav.

Similar Messages

  • Cash Management - Forecast Report

    Dear Expert,
    In the cash Management - Forecast Report, I have customer invoice with discount payment term.
    Example:
    customer invoice - USD1,000
    Payment term is 30 days. If pay in first 10 days, 1% discount.
    So the forecast report is showing USD990 in the customer forecast column for the coming 10 days. But after the 10 days, it still showing RM990.
    Logically, it should have exceed the 10 days discount period and the report should show USD1,000, RIGHT?
    Any expert have any idea on this issue?
    Please share. Thanks.

    Hi Louis,
    May be the system is figuring out more than we expect ?
    Please check the cutomer master to see if the "Payment History" is flagged. If this is the case then the calculation of "planning day " is different. As you might be aware , usually Planning Day = baseline day + payment term days.
    Also check out the note 24883
    Hope you resolve soon,
    Shony

  • Issue with Cash Management and liquidity forecast report

    Hello folks,
    I am working with cash management and liquidity forecast reports. While running the report for Cash management, as I drill down to planning levels and induvidual GL accounts for the bank accounts, the figures for GL acounts in report does not tally with actual GL balances. As I drill down to last level, it shows the GL balance display which is different from the values in the report. Can anyone tell me why it does not pick up certain values. I find that certain document type "DZ" values are not picked up by the report. Any suggestions?
    Also, I would like to know is there any way to cross check the values in Liquidity forecast report for sales orders, purchase orders and requisitons through any other report in MM and SD. Would appreciate if someone can respond to mu query.
    Thanks in advance,
    -NK-

    In se38, look for programs starting with RFFD*; there are a few for reconciliation of cash management with SD/MM/GL etc.

  • Cash management and Liquidity forecast

    Hello,
    I have here a requirement for cash management and liquidity forecast but I can't use the sub-module as business area does not represent what they want to analyse.  The profit centre is the relevant object in this case.  Anyone knows of any SAP functionality that can be used or investigated? 
    Thanks in advance.

    In se38, look for programs starting with RFFD*; there are a few for reconciliation of cash management with SD/MM/GL etc.

  • Required Config and testing Docs for cash management/cash forecasting

    Hi All,
    My client need to implement cash management/cash forecasting ..
    Can anyone send the details Required Config and testing Docs for the same as earlier i have not worked in this area..
    Thanks in advance...
    Regards,
    Sandip

    Hello
    Please check the below link
    help.sap.com/bp.../J11_BB_ConfigGuide_EN_IN.doc - United States
    Thanks & Regards
    Phaneendra

  • Profit Center parameter in FF7A and FF7B (Cash Management & Liq. Forecast)

    Dear All,
    I have a requirement to add profit center parameter in FF7A and FF7B (Cash Management and Liquidity Forecast Report).
    In ECC6, there are only Company Code and Business Area, but we use Profit Center instead of Business Area.
    Would appreciate if you can share your experience whether it is possible to add Profit Center parameter on these reports, how to do it, or what is the workaround for it.
    Thanks in advance for your kind assistance.
    CW

    Review SAP Notes:
    763985 and related notes (996121, 746810, 743946).
    David

  • Cash Management

    Hello All,
    Would appreciate guidance wrt implementation of Cash Management.
    We would be using LSMW for update our Master data with the Planning Groups / levels.
    However, not aware of the Cash Management Implementation Tool and it's associated problems.
    Our understanding of FDFD is (execute the following):
    - Activate Company Code,
    - Data setup - We don't intend using any of those expect FI-GL, FI-AR & FI-AP
    - Data Reconciliation - do we need this ? What parameters; only main Bank accounts?
    - Data Correction - do we need this ? when, only if there are errors
    - Customising - ok
    - Cust / Vend Data - not using this program, any impact?
    The above is being implemented in ECC 6.environment (with FI being used). A heads up on the above would be highly appreciated, Thanking you in anticipation,
    Regards, Raj

    Hi,
    Please go through the following documentation:
    Report for Dynpro: SAPMFFD1
    Description
        Transaction FDFD was developed mainly as a tool to support
        implementation of the cash management and forecast (CM&F). You can
        activate the CM&F update for company codes; table settings are checked
        as you do so. The planning groups needed for the CM&F updates can be
        entered in vendor and customer master records, making partial/complete
        reconstruction of the totals records easier.
        The program consiss of five subareas which can be reached by means of
        status buttons: 1. Activate company code
                        2. Vendor/customer data
                        3. Data setup
                        4. Data reconciliation
                        5. Data correction
    1.) Activate company code
      When you activate a company code for CM&F, this makes it possible to
      update planning data in money transactions relevant to planning. There
      is a further indicator for the update from each of MM and SD which you
      must set if you want the data from those areas to be passed to CM&F.
      When you activate, all the table settings are check and, where
      necessary, carried out.
    2.) Vendor/customer data
      You can use this function to include planning groups in the vendor/
      customer master records. These planning groups are a necessary criterion
      for recording open items in CM&F.
      The lines in the table represent selection criteria for the various
      groups. The logic used is as follows:
      The priorities merely assign rankings. Priority 1 is the highest. The
      system checks this criterion first. If the vendor/customer satisfies
      this criterion, the group for this record is entered into the master
      record.
      Example :
    Prio. Ctry Frm pymt trm To pymt term Dunn. Pymt mtd       Group        Pymt hist.
       1    US    ZB01              ZB05       0001    U             E1             X
       2    US                                                                       E2
       3                                                                                 OTHER
    Vendors/customers who satisfy the criteria in line 1 are assigned
    planning group E1 and the flag for recording the payment history is set.
    All other customers in the US receive group 2; foreign customers are
    assigned group "OTHER":
    To ensure that every master record is assigned a planning group, you
    should always specify at least one structure (with lowest priority)
    which a vendor/customer fits if no other is suitable.
    You can use the "Check" button to determine the number of master records
    to which no group has yet been assigned.
    Use the menu option "Download/upload" menu option to store the selection
    criteria locally and import them again later.
    ) Data Setup
    In data setup, you can copy documents and open items, along with plan
    records and account balances, already in the system into CM&F.
    Here, you can stipulate whether the data setup should cover the data
    from SD and MM, along with agency business or data from Treasury
    Management.
    You run the transfer programs as background jobs, for which you can
    enter a scheduled date and time. We recommend you schedule the job to
    run at night because postings made during the data setup may lead to
    data inconsistencies in CM&F.
    Note that the first step in the data setup deletes all the planning
    data.
    In the case of data from manual planning (plan items, payment advice
    notes), the system generates a special query because this data cannot be
    retrieved once deleted. If you want to retain this data, answer "No" to
    the query.
    ) Data Reconciliation
    A program is available to level the CM&F data which you can schedule
    from here as a batch job. For more information, see the program
    documentation.
    ) Data Correction
    If a data inconsistency occures between CM&F and the actual data, you
    can use this option to avoid having to reconstruct all the data. The
    reconstruction can be limited, depending on where the inconsistency
    originated. For more information, see the program documentation.
    If useful, assign points.
    Thanks

  • CE Cash Management

    I need some help with Open Interface for cash Management, the sintax problem: UNABLE TO GENERATE FORECASTING FOR OPEN INTERFACE with external table source.
    I would like to know what is the data import table that works with this open interface

    Cash Management (CE) is also an 11i module, so it shold upgrade just fine. There is just one mention of CE in the upgrade doc if you have implemented and customized the Reconciliation Open Interface:
    http://download-west.oracle.com/docs/cd/B25516_15/current/acrobat/r115102ug.zip
    6-6 Oracle Applications Upgrading Oracle Applications
    Step 1 Reinstall custom Reconciliation Open Interface objects
    This task is Conditionally Required. It applies to Release 10.7 or 11.0 upgrades.
    Requirement Explanation
    Reference manual? Financials Open Interface Reference, Oracle Cash Management User’s Guide
    Do before using? Reconciliation Open Interface
    Financial
    Perform this step only if you have implemented and customized the Reconciliation
    Open Interface.
    In Step 1 of the Oracle Cash Management Tasks in Chapter 1, you backed up the
    customized copies of CE_999_INTERFACE_V (view), and CE_999_PKG (package).
    Reinstall these customized copies to the database in the APPS account.
    TUMS Step Key? CE_999_RESTORE

  • Cash management  Report

    HI all,
    My client is looking for a report in CASH MANGEMENT.
    I used the standard report (T.code FF7B,FF7A) ....but the sysytem is taking all the PO & PR values,which must be taken.
    I would like know any BAPI or User Exit or BADI or any Stand T.Code which will calculate the actual cash balance (flow).
    The req is as follows... (daywise/Weak wise/ Month wise)
    Opening bal (curency wise i.e. SAR,USD.EUR)  :
    Add : Receipt + FD maturing + Customer Payment
    Less: FD renewedVendor Payment Other Payment
    Closing Balance ( as on day/weak/month currency wise)
    Carry Forward of balnce (to next day/Weak/Month)
    Can i have any guidance for my issue.
    I  cant go for 'Z' report...as my client is expecting output form the standard report.
    Cash management has been implementated and fund management is not implementated.
    Also in future they will  implement the Fund management...
    Can you help me out ........
    We are in ECC 6.0
    Regards
    SAP4ME

    Hi
    To me it sounds as if you should consider to implement the SAP liquidity calculation functionality. This tool is a combination of the SAP Actual calculation module in FSCM which will collect your actual cash flows based on the direct cash flow model only. On top of this module, you set up the SAP BW reporting which can then display your opening balance - add any movements for the period selected and calculate the ending balance. In addition, by activating the SAP Integrated planning module, you will provide the customer with a module where they can enter cash flow forecasts which can then be reported together with actual cash flows in SAP BW;
    BR
    Lone

  • FF7B - Cash management Profit centre in the line item

    Hi,
    We are facing one problem at our end.
    We have upgraded our system to ECC 6 with new gl activated.
    Also activation of cash management (lequidity forecast) exist since 4.6C .
    Now with New GL activation in place and When we run FF7B -  ( Transaction to check the lequidity forecast ) it shows the summary details but when we drill-down to a line item level and copy profit centre as well as segment field from the layout for the line items the fields are appearing blank.
    Is anybody have the idea how to populate or update the profit centre as well as segement field in the same line item data in future and also for the past data.
    Thanks & Regards
    Mahesh

    this is available in Enhancement Pack 5.

  • Cash Management - does a current day bank statement feature available ?

    My business uses the current day bank report downloaded from the bank (not the BAI format), for figuring out the projected cash outflows like cheques presented by suppliers in our bank.
    They are planning to implement Cash Management shortly.
    What feature in Cash Management will help them achieve this instead of having to go to their manual calculations from Excel files ?
    We were hoping that the cash forecasting will help but looks like its only for the information already in the application like the validated supplier invoices and customer receipts based on the payment terms (AR and AP) but not based on what would happen in the bank based on the current day bank statements.
    We do not know if the intra-day bank statements in BAI format will help us achieve this but we do not have Treasury module implemented.
    Please share your thoughts.

    Hi All,
    How does one set opening balance of bank account in cash management -> cash position report?
    Do we use the planning level in the GL master data? Or do we get this information from a current day file & load a memo record for that value?
    Thanks
    Morgan

  • Securities in Cash Management (Product Type 16A)

    Hello Experts
    My client is investing in its subsidiaries and I am mapping this through the securities - product type 16A.
    The process that I am following is -
    TS01 (order)>>TS03>>TS04>>TPM28
    The problem is that I can only see the impact of the transaction in the cash management FF7B only after the TPM28 trasanction and not TS01 or TS03 0r TS04 - this is required though.
    I have done the configuration under -
    Financial Supply Chain Management>>Treasury and Risk Management>>Transaction Manager>>General Settings>>Link to Cash Management>>Assign Planning Levels/Specify Update Types for Cash Management (SE1000 update type has been made relevant to CM)
    Have also checked the config point Define Company Code-Dependent Settings for the Product Type (under securities node)
    Please let me know if this is possible.
    Regards
    Sandeep

    Hi
    Have been able to solves some bit of the problem (the FD orders are appearing in the cash forecase). However I am not clear about the interest due - will it appear anywhere in the forecast (or can ths system be configured to reflect the same in the liquidity forecast).
    Similarly the bonds issued will have the payments due on account of interest (can this be brought under Liquidity)
    I am using the BNK key should I use the PSK key for such items.
    Aalso I was reading in the SAP training materila that the planning group can be specified in the BP master (verbatim below) but i could not fing out where in the BO master it may be.
    The update to Cash Management distinguishes between two cases:
    u2022 Option 1 (liquidity forecast):
    If no payment details have been maintained in the transactions, that is, the
    bank accounts are not known, the cash flow for a bank account or bank
    clearing account cannot be displayed. To ensure that the cash flow appears
    in Cash Management, the amount for subledger accounts is displayed. The
    system then draws on the planning group specified in the master record for
    the business partner.
    u2022 Option 2 (cash position):
    If payment details are specified in the transaction, that is, the bank accounts
    are known, the cash flow appears in CM on the level assigned to the relevant
    bank bank (clearing) account.
    Thanks for your time and valuable input.
    Best Compliments
    Sandeep

  • FF7A- Cash management Report

    Hi Experts,
    After executing the Cash management and forecast report in transaction code FF7A, we drill down in the sub-ledger-it shows correct figures then we drilldown further to FI figures here also it shows correct figures but when we drilldown to external and internal customers and vendors, we found that the SAP system shows incorrect figures, it does not match with the figures of the report from which we drilled down from.
    we have checked all the relevant available SAP notes but either they are implemented or are not applicable.
    we are using 4.6C version of SAP SP upgraded till 43 for 4.6C.
    can somebody guide?
    Thanks in advance
    PAB

    Hi David,
    without having need to go into some Customizing of specific Custom development, you can specify time period not only in days, but also in weeks, months and combination of all mentioned before, so I'm sure you can cover period of even more than 60 days. When you run FF7A, there is a group of fields called Increment in selection criteria, where you can specify your variant of timeline, also another field Number of Columns, where max. number is a bit more than 20 columns (or days) if I'm not wrong (do not have access to system at moment).
    E.g. you can show first 2 weeks in days, then next 2 months in weeks and the rest period in months, which makes more than 2 months.
    Hope this will help you.
    Rgds,
    Renatas

  • Cash Management Report Requirement

    Hello All
    We have a requirement where  the users want to track thier receivables and forecast cash.
    They would like to see someting like
    Customer.... due before period, due during period, due after period,  Sales order due before period, during period and after period.
    Can anyone please suggest the best way to proceed for this kind of reporting.
    Thanks
    Sanjeev

    Hi Sanjeev,
    standard Cash Management reports that SAP offers are transactions FF7A (Cash positions) and FF7B (Liquidity forecast). Apart from it you can create own reports using transaction TRM0.
    BR, Tomislav

  • Cash Management FF7B - no documents displayed

    Hi all,
    I have made all the settings for Cash Management. But when I run FF7B to display the liquidity forecast, I can't display the original documents. When going through the different levels, and trying to reach the original document, I get a message in "Memo records - list" that says "List contains no data".
    What do I have to do to be able to display the original documents composing the cash management values?
    Thank you!
    //M

    Dear All,
    We have the same problem. Have configured cash management and everything works fine but when we try to drill down to document level for A/P and A/R it is not showing anything, only "List contains no data". We don´t have line item display on the reconciliation accounts but I have tried to also use a reconciliation account with line item display and it still doesn´t work. What have we missed?
    Please help!
    BR L

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