Cash Management
taught by Calypso Learning Services
Calypso's Back Office Cash Management features allows an organizations Treasury department to have clear visibility of cash available in any of their bank accounts. The solution facilitates a treasurer’s job by giving him/her a means to manage expected flows, settled flows and non-settled flows, thus allowing treasurers ability to reconcile smoothly with positions held at agents.
In this course we will walk users through in detail the different aspects of cash management, covering in detail:
Calypso Learning Services
Introduction
Introduction
Business Requirement
Report Features and Cash Position Scenario
Drill Down Features
Some Important Configuration Points
Inventory
Introduction
Cash Management Concept
Matching Configuration
Position Review & Matching
Functional Process_Investigating and Managing Breaks.pdf
Reconciliation
Introduction
Sweeping Overview
Reviewing Configuration
Sweeping Using Scheduled Task
Manual Sweeping
Automatic Sweeping
Quick Reveiw of The Account Setup for Sweeping
Introduction
General Information on Accounts
Defining Client Accounts
Call Account Trade
Conducting Transactions
Impact of Transfers
Generating Interest and Statements
Managing Account Status'
Call Account Relevant Setup.pdf
Call Accounts
Introduction
Report Framework
Back Office Reconciliation Report
Process Status Report
Transfer Report
Message Report
Account Activity Report
Inventory Snapshot