Treasury and Financial Risk Management
Quickly forecast your business’s cash flow and reduce risk with a solution that gives you the full view of your data.
Collaborative Finance Operations
When the market suddenly shifts, your team will be prepared to quick respond to such fluctuations with this solution.
Enterprise Risk and Compliance
Minimize risk increase compliance, and monitor international business activities with automated software.
To keep up with the demands of the rapidly evolving digital age, finance teams are turning to new business models. With SAP S/4HANA Finance, these teams are able to view their financial and operational data in one place, have an easy reporting processes, and analyze the financial impact of business decisions in real-time.
This finance package includes a variety of Finance and Accounting solutions that help with planning & analysis, accounting close, risk management and more. All of these solutions are powered by the SAP HANA database.
Financial Planning and Analysis (FP&A)
This solution lets you be more efficient with your finance functions by increasing the speed of your planning cycles and improving profits.
Integrate your end-to-end planning process into this solution and utilize your data to decrease your planning time.
Cash management
Staying on top of your company’s finances can be difficult and be faced with many challenges; keeping control of many bank accounts, tracking your global bank balance and managing payments and cash balances to name a few. With SAP Cash Management, overcoming these challenges will be effortless. Cash Management gathers information from multiple sources and integrates it onto a single platform. This reduces the time needed to gather information, evaluate, and make strategic decisions with that information. Some of the key benefits of Cash Management are: