Did you know that the new cash management solution provided with SAP S/4HANA enables its customers to optimize their view of global cash balances and provides capabilities for better liquidity forecast and planning with an integrated process using ERP-based data?
Learn more about this at a special workshop "Cash Management - Boost Your Cash Management Using the Power of Technology from SAP HANA" taking place on 12 June, 2016 in Barcelona, Spain. Discover how the new solution helps customers to manage their bank accounts effectively, and raise your questions with experienced SAP solution experts.
Attend this workshop to:
• Understand the capabilities of the new cash management solution
• Get insights into the demo systems and learn about integration scenarios to other finance and treasury areas
• Understand the business benefits and the planned road map of the new solution
This workshop is part of the International SAP Conference for Treasury Management. More information can be found here