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SAP C_S4FTR_1909 SAP Certified Application Associate Treasury with SAP S/4HANA Online Training

Question #1

What is evaluated to ensure proper calculation of the reclassification amounts and the relevant hedging relationship is classified and posted on the reclassification date?

  • A . Financial Transaction
  • B . Visibility of Spend
  • C . Maverick Spend
  • D . Spend on Catalog

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Correct Answer: A
Question #2

What does SAP’s Multi-Bank Connectivity provide for your project? 3

  • A . End-to-end integration to banks for incoming and outgoing payment processes.
  • B . Direct integration to banks.
  • C . Connects to multiple banks through real-time, batch, or manual upload/download.
  • D . Cloud-based corporate to bank connectivity that is open to the public.
  • E . End-to-end solution that can be used from either SAP ECC or SAP S/4HANA environments.

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Correct Answer: A,B,C
Question #3

Which of the following are components of a format tree? 3

  • A . Item
  • B . Element
  • C . Footer
  • D . Atom
  • E . Header

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Correct Answer: B,D,E
Question #4

What are premiums and discounts on one side of a basis swap that make the swap into a fair transaction?

  • A . Basis spreads
  • B . SAP BW Transformation
  • C . CompositeProvider
  • D . SAP HANA Decision Table

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Correct Answer: A
Question #5

Which of the following payments can be executed by the treasury payment program?

  • A . Payments to customers and vendors
  • B . Mobile payments
  • C . Loans Management payments
  • D . Payroll payments
  • E . Payment requests

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Correct Answer: A,C,E
Question #6

What are the sources for exposure to be displayed in the hedge management cockpit (2 Correct Answer)?

  • A . Balance sheet exposures
  • B . Exposure management 2.0
  • C . Commodities exposure
  • D . One exposure from operations hub

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Correct Answer: B,D
Question #7

Preparing a handbook for testers on new Foreign exchange (FX) Hedge management solution.

When must you take a snapshot?

  • A . After you determine hedging requirements;
    Before the decision on a hedging instrument is final.
  • B . After the decision on a hedging instrument is final;
    Before you process the hedging instrument.
  • C . After you capture raw exposure data;
    Before you create hedging area
  • D . After you capture raw exposure data;
    Before you conclude the hedging contract

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Correct Answer: C
Question #8

You implement Market Risk Analyzer.

  • A . A hierarchy of portfolios provided by the Portfolio characteristic
  • B . An organizational hierarchy
  • C . A hierarchy to compare the results of different values at risk
  • D . A hierarchy selected from characteristics

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Correct Answer: A
Question #9

Which of the following market data types can you import into the system?

  • A . Correlations
  • B . Discount factors
  • C . Exchange rate
  • D . Exchange limits
  • E . Interest rates

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Correct Answer: A,C,E
Question #10

What is determined on the basis of past data for the price parameter?

  • A . Statistical orders
  • B . Statistical projects
  • C . Profit centers
  • D . Historical volatility

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Correct Answer: D

Question #11

You need to ensure the correspondence is generated after the trade is created and saved.

What is the trigger for the correspondence?

  • A . Correspondence object
  • B . Correspondence recipient type
  • C . Communication channel
  • D . Correspondence activity

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Correct Answer: D
Question #12

What cannot be posted because of an invalid mapping rule, missing Customizing, or master data?

  • A . Profit Center Accounting
  • B . Central Finance Project System Master Data
  • C . Documents
  • D . Profit Center Accounting Simulation

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Correct Answer: C
Question #13

Which of the calculation type controls the creation of the hypothetical derivative, the decomposition of the market rate components, and the creation of the market value components?

  • A . Hedge accounting calculation
  • B . Push down
  • C . Capital Expenditure
  • D . System attempts

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Correct Answer: A
Question #14

Designation types are required with the automated designation process.

Which combination of values can you use when you assign designation types in the hedging area?

  • A . • Company code
    • Valuation area
    • Company code on behalf of which the financial transaction is created
    • Hedging classification "
    • Company code on behalf of which the financial transaction is created
  • B . • Valuation area
    • Hedge strategy
    • Hedging classification "
    • Company code on behalf of which the financial transaction is created
  • C . • Valuation area
    • Hedging area
    • Currency "
    • Company code
  • D . • Valuation area
    • Hedging area
    • Hedging classification "

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Correct Answer: A
Question #15

Which of the manager provides the instruments for processing the related financial transactions, from deal capture through to transferring the relevant data to Financial Accounting?

  • A . Transaction Manager
  • B . Biding rules
  • C . Currency rules
  • D . Market feedback

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Correct Answer: A
Question #16

Is SAP S4 HANA can be deployed on which of below edition.

  • A . None of the above
  • B . on Premise
  • C . Private
  • D . hybrid
  • E . Cloud

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Correct Answer: B,D,E
Question #17

Which type of documents requires specific configuration in the Central Finance system?

  • A . Replicated FI-AA document
  • B . Replicated FI-GL document
  • C . The replication of asset
  • D . Replicated Fl documents

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Correct Answer: C
Question #18

Which type of pools are entered in the master data?

  • A . Participants and Investment pools
  • B . Process Compliance
  • C . Pricing & Terms Repository
  • D . Modern computer systems

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Correct Answer: A
Question #19

Which of the analyzer focuses on measuring, analyzing and controlling counterparty default risk?

  • A . Credit Risk Analyzer
  • B . Find Buyers ready to Buy
  • C . Accelerate Sales Cycles
  • D . Customer Retention

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Correct Answer: A
Question #20

What are used during the extraction and posting of data in the initial load of FI/CO postings, which is carried out via Customizing of Central Finance.?

  • A . Package keys
  • B . Link to change Requests
  • C . Monitor Service Desk
  • D . Implement SAP services

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Correct Answer: C

Question #21

Intelligence to make smart decision using SAP Analytics Cloud. Sequence?

  • A . Insight – Information – Data – Action – Value
  • B . Data – Information – Insight – Action – Value
  • C . Information – Data – Insight – Action – Value
  • D . Information – Data – Insight – Value – Action

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Correct Answer: B
Question #22

Which of the exposures are risk positions that result from transactions that you can either import using a BAPI from a source system?

  • A . Raw exposures
  • B . SAP HANA Live browser
  • C . Contract & Supplier Management
  • D . PO & Invoices (Unlimited)

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Correct Answer: A
Question #23

You are implementing the new Foreign Exchange (FX) Hedge Management and Hedge Accounting. You define a hedging profile, which is used for the configuration of the hedging area.

What can you specify in the hedging profile? 2

  • A . Designation types
  • B . Hedging scenario
  • C . Product types for exposure subitems
  • D . Settings used for the effectiveness tests

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Correct Answer: B,D
Question #24

Which micro services are included in the SAP Cash Application? (3 Correct Answer)

  • A . Receivables line item matching
  • B . Payment advice extraction
  • C . Invoice extraction
  • D . Line item clearing
  • E . Payables line item matching

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Correct Answer: A,B,E
Question #25

Which type of connection is used when data is uploaded to the SAP Analytics Cloud in memory HANA database?

  • A . Unified modelling
  • B . Live connection
  • C . Embedded Data Source
  • D . Data Acquisition

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Correct Answer: B
Question #26

During which of the phase of the initial load it is sometimes necessary to reset the data transferred by the initial load?

  • A . Controlling Phase
  • B . Functional Phase
  • C . Operating Phase
  • D . Test Phase

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Correct Answer: D
Question #27

What must you do when you configure the Automatic Payment Transactions for Payment Requests program?

  • A . Define payment method(s) by bank.
  • B . Define payment request number ranges by company code.
  • C . Specify the payment request clearing account by company code.
  • D . Specify currencies valid for each payment method.

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Correct Answer: C
Question #28

What are used for the interest rate instrument on which the reference interest rate is based to describe when and how much money is paid?

  • A . Perform cost accounting
  • B . Sales order management
  • C . Review tasks
  • D . Interest conditions

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Correct Answer: D
Question #29

Which of the data transfer program uses an import (receiver) structure called a transfer category to map external data to risk objects?

  • A . External data
  • B . Board and Track
  • C . Broadcast it with catalogs
  • D . Article master

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Correct Answer: A
Question #30

What is used only for selected monetary assets and liabilities since the changes in value of the hedging instrument and the underlying transaction have usually already been recognized in profit and loss?

  • A . Hedge Accounting
  • B . Article master
  • C . New Leads
  • D . Contract & Supplier

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Correct Answer: A

Question #31

Where the system calculates a premium for the transactions and saves this only as a current market value?

  • A . In a sourcing event
  • B . Process Compliance
  • C . Pricing & Terms Repository
  • D . In the case of currency options

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Correct Answer: D
Question #32

Which steps must you configure to activate SAP SAHANA Cash Management? 2

  • A . Specify the cash scope as full scope.
  • B . Activate the business function FIN_FSCM_CLM.
  • C . Specify the cash scope as basic scope.
  • D . Activate the business function FIN_FSCIM_CLIV1.

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Correct Answer: A,B
Question #33

You are setting up a model for Liquidity Planning in SAP Analytics Cloud.

Which steps are required to establish the model? (3 Correct Answer)

  • A . Add an input task
  • B . Map Data
  • C . Add a data source
  • D . Add dimensions
  • E . Define a style

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Correct Answer: A,D,E
Question #34

You are implementing Market Risk Analyzer and need to enable specific valuations by product types.

What must you define?

  • A . Valuation rules
  • B . Evaluation types
  • C . General valuation classes
  • D . Valuation areas

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Correct Answer: A
Question #35

Which import option for market data is supported?

  • A . Datafeed
  • B . Market data wizard
  • C . Bloomberg connector
  • D . XML file upload

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Correct Answer: C
Question #36

What must you define before you can create a liquidity item hierarchy?

  • A . General liquidity item derivations
  • B . Company code-specific liquidity item derivations
  • C . Liquidity items
  • D . Liquidity plan

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Correct Answer: C
Question #37

Which of the following file types are supported by default when you use SAP Multi-Bank Connectivity? 3

  • A . Bank statement files
  • B . SWIFT correspondence acknowledgement files
  • C . SWIFT correspondence files
  • D . SWIFT payment files
  • E . SWIFT payment status files

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Correct Answer: A,D,E
Question #38

The G/L accounts to which acquisition and production costs (APC) are posted, as well as the G/L accounts for the cumulated depreciation, are defined as reconciliation accounts for fixed assets?

  • A . In the Central Finance system
  • B . In the asset system
  • C . In the source system
  • D . In the GL account system

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Correct Answer: C
Question #39

You have customized the system for Hedge Accounting under IFRS.

During period end activities, which of the following amounts of Hedging Instrument (HI) does the system post to Equity (OCI)?

  • A . For fair value hedges, the non-effective portion of change in fair value of the HI.
  • B . For cash flow hedges, the non-effective portion of gain or loss of the HI.
  • C . For cash flow hedges, the effective portion of gain or loss of the HI.
  • D . For fair value hedges, the effective portion of change in fair value of the HI.

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Correct Answer: C
Question #40

When a BP is linked to a bank in Manage Banks app, which pre-requisites are required? (2 Correct Answer)

  • A . "Financial services" role is assigned
  • B . "Bank Role" is assigned
  • C . BP category is a group
  • D . BP category is an organization

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Correct Answer: B,D

Question #41

Your current payment outflows meet all netting requirements.

Which Transaction Manager flows can you link through netting? 3

  • A . Two or more money market transaction flows
  • B . Two money market flows and a foreign exchange flow
  • C . One money market flow and a freeform payment request
  • D . Bank-to-bank repetitive payment and a money market flow
  • E . Five derivative flows and one security flow

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Correct Answer: A,B,E
Question #42

You are preparing scenarios in Market Risk Analyzer for testing purposes.

Which market data can you use to create scenarios? 2

  • A . Default rates
  • B . Exchange rates
  • C . Credit spreads
  • D . Correlations

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Correct Answer: B,C
Question #43

Manager can be evaluated and monitored using the functions in Risk Management?

  • A . Column store
  • B . Risk MGMT
  • C . Surveys
  • D . Financial Transactions

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Correct Answer: D
Question #44

Which main components does the TRM solution consists of as below?

  • A . General Ledger
  • B . Transaction Manager
  • C . Cost center controlling
  • D . Risk analyzers
  • E . Hedge Management

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Correct Answer: B,D,E
Question #45

What does allow you to distribute messages to different users, use alerts, and carry out reporting?

  • A . SAP AIF
  • B . FINS_CFIN_AIF_CO
  • C . FINS_CFIN_AIF_DOC_POST
  • D . FINS_CFIN_AIF_GEN

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Correct Answer: A
Question #46

Which of the following prerequisites must a business partner have who is linked to a bank in the Manage Banks app? 2

  • A . The business partner category is a group.
  • B . The financial services role is assigned.
  • C . The bank role is assigned.
  • D . The business partner category is an organization.

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Correct Answer: C,D
Question #47

You have enabled two business transaction events (BTE) in configuration to enable signatory control.

What impact does this have on the payment approval process?

  • A . Users defined in SAP Bank Communication Management can approve payments.
  • B . Users defined in SAP Bank Account Management can approve payments.
  • C . Users defined in SAP Multi-Bank Connectivity can approve payments.
  • D . Users defined in SAP Payment Engine can approve payments.

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Correct Answer: B
Question #48

From which sources can you copy reference data during the planning process?

  • A . Actual data
  • B . Treasury cash flow data
  • C . Cash position data
  • D . Forecast data
  • E . Previous plans

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Correct Answer: A,D,E
Question #49

Which of the components are used to calculate the cost of hedging reserve?

  • A . InfoSource fields
  • B . SAP ERP buyers
  • C . SAP ERP systems
  • D . CCBS (NPV_CCBS) components

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Correct Answer: D
Question #50

You are using Credit Risk Analyzer.

Which type of Counterparty risk is tracked?

  • A . Interest rate risk
  • B . Liquidity risk
  • C . Inflationary risk
  • D . Settlement risk

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Correct Answer: D

Question #51

Which import option for market data is supported within SAP TRM?

  • A . Bloomberg connector
  • B . Datafeed
  • C . XML file upload
  • D . Market data wizard

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Correct Answer: B
Question #52

You need to separate security positions by valuation area, special valuation class, and securities account.

Which customizing activity do you perform? 1

  • A . Define valuation areas.
  • B . Define and assign differentiations.
  • C . Define position attributes.
  • D . Define security account groups.

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Correct Answer: B
Question #53

Which of the manager is based on the business partner concept?

  • A . SAP BW application
  • B . Required tasks
  • C . Work templates
  • D . Transaction Manager

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Correct Answer: D
Question #54

Which of the class is needed so that the position management procedure can be determined for exposure subitems?

  • A . In-place conversion
  • B . Greenfield conversion
  • C . Remote conversion
  • D . General valuation

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Correct Answer: D
Question #55

In which order do you customize the electronic bank statement functionality?

  • A . "Create keys for posting rules.
    Define posting rules.
    Assign accounts to account symbols.
    Assign bank accounts to transaction type."
  • B . "Create account symbols.
    Assign accounts to account symbol.
    Create keys for posting rules.
    Define posting rules."
  • C . "Assign accounts to account symbols.
    Assign interpretation algorithm to external transaction code.
    Create keys for posting rules.
    Assign bank accounts to transaction type."
  • D . "Create account symbols.
    Assign external transaction types to posting rules.
    Create keys for posting rules.
    Create transaction type."

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Correct Answer: B
Question #56

The data footprint increased with the introduction of SAP S/4 HANA.

  • A . True
  • B . False

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Correct Answer: B
Question #57

Which elements control account determination for Transaction Manager deals? 3

  • A . Account assignment reference
  • B . Valuation area
  • C . Portfolio
  • D . Update type
  • E . Flow type

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Correct Answer: A,B,C
Question #58

Which of the sheet recognition date is the date on which a receivable or payable is posted to the balance sheet?

  • A . System automatically
  • B . Generates an ID
  • C . The number range.
  • D . Balance sheet

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Correct Answer: D
Question #59

When you use the bank account upload functionality, which of the following operations can you perform? Note: There are 2 correct answers to this question.

  • A . Change signatories
  • B . Create attachments
  • C . Create bank accounts
  • D . Change bank accounts

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Correct Answer: C,D
Question #60

Which of the following describes the customization of the payment approval pattern?

  • A . 1 is the highest priority when multiple payment approval patterns are assigned.
  • B . The company code and account type must be used when the payment approval patterns
    are assigned.
  • C . The payment approval patterns are assigned with the maximum amount limit.
  • D . A sequential and a non-sequential payment approval pattern can be assigned to a bank account.

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Correct Answer: D

Question #61

Which type of payments can be processed with the Treasury payment program (Fill)? (3 Correct Answer)

  • A . Payments to employees (HCM)
  • B . Bank to bank transfers
  • C . Payments based on open items
  • D . SAP In House Cash (IHC) payments
  • E . Free form payments

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Correct Answer: B,D,E
Question #62

For which data do you define liquidity item derivation rules of type origin X?

  • A . Data from remote systems
  • B . Supplier line items
  • C . Bank statement postings
  • D . Customer line items

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Correct Answer: A
Question #63

What is used to transfer postings from a period, for example the current fiscal year, from your source systems to your Central Finance system?

  • A . Use periodic re-posting
  • B . Use settlement
  • C . The initial load
  • D . Use overhead surcharging

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Correct Answer: B
Question #64

Which of the function selects the exposure subitem position flows to be reclassified?

  • A . Online Sourcing Functionality
  • B . Competitive Bidding
  • C . Advanced bid analysis tools
  • D . Fix and Post Derived Business Transactions

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Correct Answer: D
Question #65

You work on a business blueprint for the correspondence business partner group.

Which configuration settings can you select? 2

  • A . Counter confirmation required
  • B . Contract settlement required
  • C . Automatic correspondence
  • D . Correspondence object creation

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Correct Answer: C,D
Question #66

Why do you set sensitive fields when you customize bank account master data?

  • A . To store sensitive information of the bank account
  • B . To derive a special field status
  • C . To protect fields against changes
  • D . To trigger workflows using SAP Business Workflow

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Correct Answer: D
Question #67

Which setting in the Assign External Transaction Types to Posting Rules folder do you use?

  • A . Posting type
  • B . Search string
  • C . Interpretation algorithm
  • D . Account modifier

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Correct Answer: C
Question #68

Which of the components are calculated based on the forward (NPV_FWD) and the CCBS (NPV_CCBS) components?

  • A . SAP BW Workspace modeling and enrichment
  • B . SAP Ariba Cloud Integration
  • C . 1322 Effective/Cost of Hedging Reserve
  • D . 1333 Ineffective/Cost of Hedging Reserve TPL

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Correct Answer: C,D
Question #69

Which action is unique to a Non-Deliverable Forward deal type?

  • A . Knock-in
  • B . Exercise
  • C . Give notice
  • D . Rate fixing

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Correct Answer: D
Question #70

Which of the following are back office tasks for an interest rate instrument?

  • A . Reverse
  • B . Exercise
  • C . Rollover
  • D . Settle

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Correct Answer: C,D

Question #71

Which of the values are required for the valuation that takes place during the release of hedging business transactions?

  • A . SAP ERP systems
  • B . SAP ERP users
  • C . Open ODS View
  • D . Component values

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Correct Answer: D
Question #72

The internal accounting interface posts Financial Accounting (Fl)/Management Accounting (CO) documents to _________________as a universal journal entry.

  • A . SAP Master Data Governance
  • B . SAP Simple Finance
  • C . SAP Hana
  • D . Fl document

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Correct Answer: C
Question #73

Which of the requests are now relevant for the trader, who searches for the released FX hedge requests in the Process Hedge Request fuction and creates hedging instruments, according to the information given in the hedge request?

  • A . Request for quotation
  • B . Payment method
  • C . Platform support
  • D . Released FX hedge requests

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Correct Answer: D
Question #74

At which levels are authorizations assigned in the BP standing instructions? (3 Correct Answer)

  • A . Product category
  • B . Transaction type
  • C . .BP category
  • D . Product type
  • E . BP category

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Correct Answer: A,B,D
Question #75

Which of the component is a subarea of the Treasury Management solution area?

  • A . Treasury and Risk Management component
  • B . In SAP HANA
  • C . Online Sourcing Functionality
  • D . Competitive Bidding

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Correct Answer: A
Question #76

Which roles are associated with the Bank Account Review process? 2

  • A . Final reviewer
  • B . Review initiator
  • C . Legal reviewer
  • D . Authorized reviewer

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Correct Answer: B,D
Question #77

Where you determine how the system fills the financial object properties from the data fields of the exposure positions?

  • A . In the derivation strategy
  • B . SAP S/4HANA On-Premises Edition
  • C . Project cost and revenue by project
  • D . Forecasted utilization

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Correct Answer: A
Question #78

When the asset information is deleted from asset-related fields of the Fl documents, for example from the fields ANLN1 and ALN2?

  • A . Before this type of document is posted in the Central Finance system
  • B . Add-In (BAdl) to transfer the asset information to customer defined fields
  • C . All asset accounts for APC and cumulated depreciation
  • D . The G/L accounts to which acquisition

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Correct Answer: A
Question #79

Which of the following comparisons are available for liquidity analysis? 2

  • A . Actual to actual
  • B . Plan to forecast
  • C . Liquidity hierarchy to liquidity hierarchy
  • D . Plan to actual

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Correct Answer: B,D
Question #80

Which of the class is automatically determined from the settings made in Customizing on the product type level?

  • A . Valuation class
  • B . Biding rules
  • C . Currency rules
  • D . Market feedback

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Correct Answer: A
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