SAP Cash Management


What Is SAP Cash Management?

SAP Cash Management provides a comprehensive overview of an organization’s cash flow by processing and analyzing all cash and bank transactions. This includes payments for supplier invoices, sales receipts, stand-alone payments, and unallocated payments/receipts. SAP Cash Management also allows for analysis of financial transactions over a given period, providing vital insights into liquidity.

What Is SAP Cash Management?

SAP Cash Management provides a comprehensive overview of an organization’s cash flow by processing and analyzing all cash and bank transactions. This includes payments for supplier invoices, sales receipts, stand-alone payments, and unallocated payments/receipts. SAP Cash Management also allows for analysis of financial transactions over a given period, providing vital insights into liquidity.

For businesses looking to streamline their financial operations, SAP Cash Management provides critical functionality for managing cash flow, including analyzing financial transactions and ensuring on-time availability of funds. There are three components included in SAP Cash Management powered by SAP HANA: cash operations, liquidity management, and bank account management. These components allow organizations to streamline order-to-cash processes, improve liquidity, and enhance visibility into cash movements.

List SAP Cash Management core capabilities include:

  • Managing bank account relationships
  • Cash flow and liquidity reports with a comprehensive overview of your company’s financial position
  • Maintaining accurate liquidity in the business
  • Analyzing financial transactions for a given period
  • Generating reports on cash position receipts and disbursements
  • Automating payments and collections processes

Key Considerations for SAPinsiders

Consider SAP Cash Management needs as a part of a move to SAP S/4HANA. By leveraging SAP Cash Management with SAP S/4HANA, organizations can generate a complete view of cash position and liquidity, empowered by the modern technical architecture of SAP S/4HANA. The ability to track, trace, and reconcile payments in real-time provides enhanced visibility into cash movements, allowing businesses to better forecast and budget for future expenses. Finance and accounting managers can use this information to make informed decisions about cash management and ensure that adequate funds are available as needed.

Implement SAP Cash Management in SAP S/4HANA as a sidecar option to help determine a roadmap. In this interview with SAPinsider, Natasha Doerksen of Cameco talks about her company’s SAP Cash Management implementation journey.

Prioritize opportunities to lower costs and increase operational efficiency with cash management automation. The way companies are leveraging cash management, bank community, and banking communications to address issues such as lowering bank fees has become more complex. By automating cash management functionality, including payment processing and reconciling supplier statements, businesses can reduce the time and effort required to manage their finances.

1093 results

  1. Bob Stark Highlights Critical Real-Time Data and Cash Visibility Lessons

    Published: 10/April/2023

    Reading time: 7 mins

    Following the collapse of Silicon Valley Bank, many organizations likely took the time to evaluate and stress test their finance and treasury operations to ensure that they would not fall victim to the same practices that led to its failure. Organizations likely want to be confident that areas like business continuity, liquidity planning and management,…

  2. SAP BusinessObjects Planning and Consolidation: A Sneak Peek at the Starter Kit for Liquidity Planning

    Published: 09/September/2010

    Reading time: 8 mins

    SAP recently announced the starter kit for liquidity planning with SAP BusinessObjects Planning and Consolidation. With the starter kit, you can create multiple liquidity scenarios and select them to fund operations and strategic initiatives across the enterprise. Key Concept The starter kit for liquidity planning available for SAP BusinessObjects Planning and Consolidation helps organizatons get...…

  3. Build an Integrated Financial Platform Strategy for SAP S/4HANA

    Published: 01/October/2017

    Reading time: 17 mins

    Many companies are eager to move to SAP S/4HANA Finance to take advantage of the in-memory platform’s improved capabilities and real-time reporting. However, it is important to ensure your data and processes are ready to take full advantage of what SAP S/4HANA Finance has to offer. Read the transcript of the discussion with Dolphin and…

  4. Get the Most Out of SAPSprint for Server-Based Printing in Microsoft Windows

    Published: 22/April/2009

    Reading time: 19 mins

    SAPSprint is the latest service for server-based printing on Windows. Learn how to install and configure this service with its default options. Drill down into the technical implementation to learn how to manage print requests, restart print processes, configure front-end printing, and include barcodes. Key Concept Processing in SAPSprint means generating print data via the...…

  5. Customer experience

    Obzervr’s Workorder Management Solution Transforms Field Data into Actionable AI Insights

    Published: 11/December/2024

    Reading time: 3 mins

    Obzervr enhances SAP’s field mobility with a cloud-based work order management solution that streamlines asset maintenance for mining and other industries by automating administrative tasks, improving safety, and utilizing AI for predictive maintenance and real-time data integration.

  6. In-House Cash Center Manages Payment Processes

    Published: 15/May/2004

    Reading time: 13 mins

    For many global companies, it makes sense to reduce overhead by consolidating their payment processes. SAP users can accomplish this by using the In-House Cash (IHC) component. The author describes the capabilities and configuration of the IHC. Many global companies face the challenge of reducing the cost and number of intra-group and external payments. One...…

  7. Unlock seamless SAP change management with Rev-Trac’s Enhanced References

    Reading time: 3 mins

    Rev-Trac’s Enhanced References feature streamlines SAP change management by linking multiple Jira subtasks, ServiceNow records, and automated test cases to a single SAP change request, thereby improving tracking, governance, and integration across IT operations and development.

  8. SAP Cloud ALM – The essential tool for any SAP Cloud implementation

    Reading time: 3 mins

    After over 20 years of experience with SAP, I’ve found SAP Cloud ALM to be an efficient, user-friendly tool for managing the entirety of SAP projects, providing integrated project management capabilities, real-time visibility, and cost-effective solutions that enhance collaboration and streamline SAP S/4HANA implementations.

  9. AssetHive Makes Official Debut, Targets Supply Chain and Asset Management Service, Solution and Knowledge Transfer

    Published: 25/November/2024

    Reading time: 4 mins

    AssetHive, a newly launched consortium of five independent service providers, aims to enhance asset management and supply chain solutions in asset-intensive industries by leveraging their collective expertise while maintaining a customer-centric approach free from the bureaucracy of larger entities.

  10. FI-CA or FI-AR: Which Module Best Fits Your Needs?

    Published: 15/September/2004

    Reading time: 24 mins

    Although both Accounts Receivable (FI-AR) and Contract Accounts Receivable and Payable (FI-CA) track accounts receivable transactions, there are important differences between the two modules. The author compares your options and presents the benefits and drawbacks of each. Glossary A business partner is a customer within FI-CA. The business partner contains central data such as name,...…