Hi Experts,
I’m implementing S/4 HANA Finance 1503 (SPS03) on-premise edition, with new SAP Cash Management, and I’m trying to derivate liquidity item in FI documents but I have some questions.
For example, I posted a normal FI Invoice with the following itens:
Credit – Vendor Account
Debit - Cost Account
My doubts/questions are:
1 - Is it possible to derive liquidity item in Cost Account with the item buffer from vendor account, like classic liquidity planner? If not, how can I separate, for example, payments related to asset purchase from national vendors and payments related to asset purchase from international vendors? I assigned the standard FM “FCLM_LQF_DERIVE_LQITEM_SAMPLE” in FLQC0 but it still didn’t work to sequence D with item buffer.
2 - Is it correct to derivate liquidity items in both FI document items? In classic liquidity planner I only use to have one liquidity item (i.e. item buffer derived from sequence C, and then substituted by sequence D)
3 - What is the best fiori app to export a cash flow map based on actual liquidity planner from new SAP Cash Management?
Thank you in advance,
Best regards,
Henrique