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SAP Cash & Liquidity Management S/4HANA Setup Checklist

SAP Cash & Liquidity Management connects bank account setup, cash position reporting, liquidity forecasting, payment visibility, bank statement processing, and treasury decision-making. Review it as an end-to-end cash process, not as separate configuration screens.

Scope Checklist

  • Company codes, currencies, house banks, and bank accounts in scope are confirmed.
  • Bank Account Management and Bank Communication Management scope is clear.
  • Cash position, liquidity forecast, and manual planning requirements are documented.
  • Bank statement and payment process integrations are included in testing.
  • Fiori roles and authorizations are assigned to the right users.

Core Setup Checklist

Bank Account Master Data

  • House bank ID, account ID, bank key, account number, currency, company code, and GL account are complete.
  • Inactive, duplicate, or test bank accounts are removed from reporting scope.
  • Bank Account Management workflow is tested if used.
  • Account status and signatory information are maintained where required.

Cash Position

  • Planning levels and planning groups match how treasury reviews cash.
  • Bank statement balances, payment proposal items, payment runs, and memo records appear in the correct views.
  • Short-term and medium-term reporting buckets are useful for daily cash review.

Liquidity Forecast

  • Accounts receivable and accounts payable flows appear in the expected forecast periods.
  • Payroll, tax, debt, investment, and manual forecast items are included where needed.
  • Currency display and translation are reviewed.
  • Source data owners are named so users can trust the report.

Payment And Bank Statement Integration

  • Payment proposal and payment run impact cash reporting correctly.
  • Electronic Bank Statement import updates cash visibility correctly.
  • Payment approvals and bank communication status are visible if BCM is used.

Testing Checklist

  • Create or review bank account master data.
  • Import a bank statement and confirm balance visibility.
  • Create a vendor payment proposal and confirm outgoing cash impact.
  • Post a customer receipt and confirm incoming cash impact.
  • Create a memo record or manual planning item.
  • Review cash position and liquidity forecast by period.
  • Test multiple currencies and authorization restrictions.

Common Issues

Issue What To Check
Bank account missing from report Bank Account Management status, house bank, and GL assignment
Forecast does not show AP items Planning level, source settings, and due dates
Cash balance looks wrong Bank statement import, GL balance, and account mapping
User cannot see Fiori tile Business roles, catalogs, spaces, and authorizations

Go-Live Controls

  • Bank account master data is approved.
  • Report layout is approved by treasury.
  • Opening balances are validated.
  • Payment and bank statement integrations are tested.
  • Daily cash review process is documented.

Learn The Full Configuration

For hands-on training in SAP Cash Management, Bank Account Management, Bank Communication Management, cash position, and liquidity forecast, see the AUMTECH course:

SAP Cash & Liquidity Management

Related courses and resources:

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