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Liquidity Planning Starter Kit A New Weapon in the Liquidity Management Fight Marc Mertens Partner Deloitte Consulting

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  • Liquidity Planning Starter KitA New Weapon in the Liquidity Management FightMarc MertensPartnerDeloitte Consulting

  • 2011 SAP AG. All rights reserved. 1

    Why Improve Liquidity Planning?

    I went to the ATM this morning and it said insufficient funds.

    Im wondering, is it them or me

  • 2011 SAP AG. All rights reserved. 2

    Learning Points

    Instead of starting with an empty planning and reporting application shell, you can bring the starter kit for liquidity planning into the process and use the pre-built components to enable a faster implementation.

    Learn how the SAP BusinessObjects Planning and Consolidation application, version for the SAP NetWeaver technology platform, can help you quickly automate your liquidity forecasts and improve their accuracy.

    The starter kit for liquidity planning, available for SAP BusinessObjects as a pre-configuration on top of SAP BusinessObjects Planning and Consolidation, helps you align liquidity-planning goals with strategic business objectives to find the best use for your cash.

  • 2011 SAP AG. All rights reserved. 3

    Agenda

    1. Understanding liquidity planning as a top priority for treasurers2. Reviewing the starter kit for liquidity planning

    What is a starter kit? Presenting the starter kits functional scope What SAP solutions is the starter kit a pre-configuration for? Walking through the liquidity planning and forecasting scenario enabled by the

    starter kit

    3. Viewing a demo4. Wrap-up

  • 2011 SAP AG. All rights reserved. 4

    Why Is Liquidity Planning So Important Today?

    The need to gain greater financial visibility and control pushed cash flow to the forefront of corporate strategy.Nasreen Quibria, Aberdeen Group. Source: Cash Management - What is best practice? FSN.CO.UK.April 26, 2010

    www.fsn.co.uk/channel_enterprise_financials/cash_management_what_is_best_practice

    Tighter credit risk management of banking sector means more detailed cashflow information requirements

    Higher funding costs and pressure on working capital Economic downturn and pressure on gross margins have increased added

    value of effective hedging

  • 2011 SAP AG. All rights reserved. 5

    Top Priorities for TreasurersLiquidity and Cash Forecasting

    Source: 2009 global survey of treasury professionals conducted by Deloitte

    Top Improvement PrioritiesTreasury Technology

    Treasury Priorities

    Liquidity Management

    ImplementingNew Structures

    Liquidity Forecasting

    FX Risk Management

    Technology

    SEPA

    The major uncertainties in the economic outlook mean higher funding costsand uncertain revenues

    Current cash forecasting features of Treasury IT systems are considered insufficient

  • 2011 SAP AG. All rights reserved. 6

    Agenda

    1. Understanding liquidity planning as a top priority for treasurers2. Reviewing the starter kit for liquidity planning

    What is a starter kit? Presenting the starter kits functional scope What SAP solutions is the starter kit a pre-configuration for? Walking through the liquidity planning and forecasting scenario enabled by the

    starter kit

    3. Viewing a demo4. Wrap-up

  • 2011 SAP AG. All rights reserved. 7

    What Is a Starter Kit?

    Starter kits facilitate and accelerate implementation projects: Starter kits are pre-configurations: prebuilt components in a starter kit enable a

    faster implementation that supports best practices for better results

    SAP and Deloittes Treasury Management and Responsive Finance Team collaborated on a starter kit as a fast track to improved liquidity planning

    Some services are required to tailor the solution to your organization's specific needs

    Deloitte is the preferred implementation/services partner for the starter kit for liquidity planning

    The starter kit for liquidity planning does not have to be purchased separately. SAP is providing the starter kit at no additional license cost to customers that already own SAP BusinessObjects Planning and Consolidation, version for SAP NetWeaver and SAP BusinessObjects Dashboards

  • 2011 SAP AG. All rights reserved. 8

    Agenda

    1. Understanding liquidity planning as a top priority for treasurers2. Reviewing the starter kit for liquidity planning

    What is a starter kit? Presenting the starter kits functional scope What SAP solutions is the starter kit a pre-configuration for? Walking through the liquidity planning and forecasting scenario enabled by the

    starter kit

    3. Viewing a demo4. Wrap-up

  • 2011 SAP AG. All rights reserved. 9

    Starter Kit for Liquidity PlanningFunctional Scope Addressing Typical Pain-Points in Liquidity Planning

    Jump-starts the implementation of a liquidity planning solution

    Improves liquidity planning (forecast) accuracy Reduces manual work by automating key calculations

    with embedded financial intelligence Delivers greater visibility into key working capital metrics Works with your existing ERP systems Delivers holistic coverage:

    o Import direct and indirect cash flow information from any source systems

    o Modify rules and rates for different scenarioso Analyze liquidity scenarios in different time aggregationso Evaluate incoming and outgoing cash and net income

  • 2011 SAP AG. All rights reserved. 10

    Starter Kit for Liquidity PlanningKey Capabilities

    Automatically converts SAP BusinessObjects Planning and Consolidation planning data into cash flow data

    Calculates mid- to long-term forecasts (up to 2 years) by integrating committed transactions with forecasted financial data

    Isolates impact of intercompany cash flows on a group level Enables simulation and sensitivity analysis on source data and calculation rules Directly integrates with SAP NetWeaver enabling data quality checks and

    remediation procedures

  • 2011 SAP AG. All rights reserved. 11

    Agenda

    1. Understanding liquidity planning as a top priority for treasurers2. Reviewing the starter kit for liquidity planning

    What is a starter kit? Presenting the starter kits functional scope What SAP solutions is the starter kit a pre-configuration for? Walking through the liquidity planning and forecasting scenario enabled by the

    starter kit

    3. Viewing a demo4. Wrap-up

  • 2011 SAP AG. All rights reserved. 12

    Business Analytics Solutions from SAPAchieve Remarkable Results

    Strategy Management

    Planning, Budgeting, and

    Forecasting

    Profitability and Cost Management

    Financial Consolidation

    Enterprise Performance Management

    Disclosure Management

    Enterprise Data Warehousing

    Data Mart Solutions

    High-performance Analytic Solutions

    Data Warehousing

    Reporting and Analysis

    Dashboards and Visualization

    Data Exploration Mobile

    BI Platform

    Business Intelligence

    Enterprise GRC Access Risk Management

    Global Trade Services

    Continuous Transaction Monitoring

    Governance, Risk,and Compliance

    Data Services

    Master Data Management

    Event Processing

    Content Management

    Enterprise Information Management

    Information Governance

    Analytic ApplicationsBy LoB

    Service, Sales, and MarketingProcurementSupply Chain

    FinanceSustainability

    IT, HR, and more

    By IndustryFinancial Services

    Public Sector and Healthcare Manufacturing

    Consumer ProductsRetail and Telco

    Utilities and more.

  • 2011 SAP AG. All rights reserved. 13

    SAP BusinessObjects Planning and Consolidation Version for SAP NetWeaver

    Familiar and easy to use User owned and managed. Enables rapid adoption by leveraging

    native Microsoft Office tools (e.g., Excel). Consolidation business rules are configured by finance users

    Process-centric Customizable business process flows ensure consistency and

    minimize training

    Enforces policies and procedures track process status and completion

    Step-by-step guidance for users

    Unified planning and consolidation Single, integrated application reduces maintenance, improves

    data integrity

    Simplified deployment while enabling flexible consolidation and planning functions

    Optimized for SAP and non-SAP environments

    Streamlined consolidation, planning, budgeting, and forecastingStreamlined consolidation, planning, budgeting, and forecasting

  • 2011 SAP AG. All rights reserved. 14

    Business Analytics Solutions from SAPAchieve Remarkable Results

    Strategy Management

    Planning, Budgeting, and

    Forecasting

    Profitability and Cost Management

    Financial Consolidation

    Enterprise Performance Management

    Disclosure Management

    Enterprise Data Warehousing

    Data Mart Solutions

    High-performance Analytic Solutions

    Data Warehousing

    Reporting and Analysis

    Dashboards and Visualization

    Data Exploration Mobile

    BI Platform

    Business Intelligence

    Enterprise GRC Access Risk Management

    Global Trade Services

    Continuous Transaction Monitoring

    Governance, Risk,and Compliance

    Data Services

    Master Data Management

    Event Processing

    Content Management

    Enterprise Information Management

    Information Governance

    Analytic ApplicationsBy LoB

    Service, Sales, and MarketingProcurementSupply Chain

    FinanceSustainability

    IT, HR, and more

    By IndustryFinancial Services

    Public Sector and Healthcare Manufacturing

    Consumer ProductsRetail and Telco

    Utilities and more.

  • 2011 SAP AG. All rights reserved. 15

    SAP BusinessObjects Dashboards(Ex-Xcelsius)

    Consume attractive, personalized dashboards online or offlineAccess to personalized, Flash-based dashboards

    Secure visualizations anywhere portal, reports, PDF, Office documents

    Empower business users with interactive information Powerful what-if analysis with sliders and other controls

    Ability to drill-down into details

    Pre-built components, skins, maps, charts, gauges, and selectors

    Create Interactive Analytics and DashboardsCreate Interactive Analytics and Dashboards

  • 2011 SAP AG. All rights reserved. 16

    Key Differences: SAP ERP Financials Treasury Apps and SAP BusinessObjects Planning and Consolidation

    SAP ERP Financials Treasury Applications:

    SAP Cash and Liquidity Management o Helps you monitor and manage cash flow and liquidity o Updates cash balances in real-time directly from receivables and payables in SAP ERP

    SAP Treasury and Risk Management o Models risk scenarios and executes mitigation strategies o Initiates, tracks, and accounts for investments and borrowing

    SAP BusinessObjects Planning and Consolidation starter kit for liquidity planning:

    Flexible cash flow forecasting/reporting

    Scenario planning/what-if analysis to simulate the impact of different cash flow strategies

  • 2011 SAP AG. All rights reserved. 17

    Starter Kit for Liquidity PlanningPrebuilt Components That Can Be Adapted to Your Organizations Needs

    Templates and functions to import aggregated liquidity data from SAP NetWeaver BW to SAP BusinessObjects Planning and Consolidation, version for SAP NetWeaver

    Templates to maintain cash calculation rules and currency conversion rates

    Automated liquidity calculation and currency translation functions

    Templates for reporting and manual adjustments, simulating liquidity strategies, and displaying daily liquidity forecasts with monthly and quarterly aggregation

    Dashboards* that provide insight into working capital metrics and incoming and outgoing cash, with navigation and drill-down capabilities, as well as the ability to make manual adjustments

    *Created with SAP BusinessObjects Dashboards software licensed separately by SAP

  • 2011 SAP AG. All rights reserved. 18

    Starter Kit for Liquidity PlanningPrebuilt Components That Can Be Adapted to Your Organizations Needs (cont.)

    From a technical standpoint, the starter kit, which can be tailored to your organizations specific needs, contains:A transport file for SAP NetWeaver Business Warehouse to be imported via the stmstransaction (SAP transport request) containing:

    o BW objects incl. InfoProvider, InfoObjects, Update Rules, InfoPackageA Backup and Restore file for SAP BusinessObjects Planning and Consolidation to be imported via the ujbr transaction containing:

    o AppSet for Liquidity Planning, BW objects in the Planning and Consolidation namespace (incl. InfoProvider, etc.), file folder for appset, examples of transaction data and master data, Excel Workbook with cash flow calculation logic

    A pre-defined SAP BusinessObjects Dashboards analytical dashboard (in .pdf, .ppt and .xlf formats) to be connected with the data available in Planning and Consolidation for read/write accessTechnical documentation and end-user documentation

    An example of an upload file (a .csv flat file) for integration of liquidity data from other sources

  • 2011 SAP AG. All rights reserved. 19

    Starter Kit for Liquidity PlanningTechnical Process Diagram

    SAP BusinessObjects Planning and Consolidation,version for SAP NetWeaver

    SAP BusinessObjects Planning and Consolidation,version for SAP NetWeaver

    SAP BusinessObjects Planning and ConsolidationExcel and Web interfaces

    SAP BusinessObjects Planning and ConsolidationExcel and Web interfaces

    Source Systems

    Maintain data and run planning functions

    Store data in central database

    Report on liquidityInformation with different tools

    Harmonization of source data in SAP NetWeaver BW EDWHarmonization of source data in SAP NetWeaver BW EDW

    SAP ERPSAP ERP DatabaseDatabase ..Flat FileFlat File

    Drill-through to SAP BEx Report

    SAP BusinessObjects Dashboards

    SAP BusinessObjects Planning and Consolidation Excel Interface

  • 2011 SAP AG. All rights reserved. 20

    Agenda

    1. Understanding liquidity planning as a top priority for treasurers2. Reviewing the starter kit for liquidity planning

    What is a starter kit? Presenting the starter kits functional scope What SAP solutions is the starter kit a pre-configuration for? Walking through the liquidity planning and forecasting scenario enabled

    by the starter kit

    3. Viewing a demo4. Wrap-up

  • 2011 SAP AG. All rights reserved. 21

    Cash Flow

    Currency Rates

    Change Parameters

    (optional)

    RunCash FlowCalculation

    END

    Cash FlowCalculation Rules (e.g.,

    DSO calculation)

    Projected Currency

    Conversion Rates

    BEGIN

    RunCurrency

    Translation

    Generate Liquidity Planning Report

    Simulate Different

    Scenarios

    Analyze Results and

    Make Required Top-Down

    Adjustments

    Upload latest Liquidity

    Information (e.g., sales forecast, salary info, sales orders) from any Source

    system

    Starter Kit for Liquidity PlanningLiquidity Planning Process

  • 2011 SAP AG. All rights reserved. 22

    System Independent

    Inputs

    CAPEXCAPEX

    SalesSales

    HRHR

    PO/APPO/AP

    SO/ARSO/AR

    FinancialsFinancials

    T

    r

    a

    n

    s

    a

    c

    t

    i

    o

    n

    D

    a

    t

    a

    F

    o

    r

    e

    c

    a

    s

    t

    D

    a

    t

    a

    Aggregation in SAP NetWeaver BW

    Analyze/ Remediate/ Aggregate

    Data analysis of latest liquidity information

    Define calculation rules

    Maintain calculation rules

    Define and Maintain

    Calculation Rules

    Upload currency rates for future time frame

    Calculate Cash Flows

    Calculate cash flow

    Run currency translation

    Simulate in different versions and do

    manual adaptions

    Report

    SAP BusinessObjects Planning and

    Consolidation Excel interface

    Dashboards embedded in SAP BusinessObjects

    Planning and Consolidation

    Starter Kit for Liquidity PlanningScenario Diagram

  • 2011 SAP AG. All rights reserved. 23

    System Independent

    Inputs

    CAPEXCAPEX

    SalesSales

    HRHR

    PO/APPO/AP

    SO/ARSO/AR

    FinancialsFinancials

    T

    r

    a

    n

    s

    a

    c

    t

    i

    o

    n

    D

    a

    t

    a

    F

    o

    r

    e

    c

    a

    s

    t

    D

    a

    t

    a

    Aggregation in SAP NetWeaver BW

    Analyze/ Remediate/ Aggregate

    Data analysis of latest liquidity information

    Define calculation rules

    Maintain calculation rules

    Define and Maintain

    Calculation Rules

    Upload currency rates for future time frame

    Calculate Cash Flows

    Calculate cash flow

    Run currency translation

    Simulate in different versions and do

    manual adaptions

    Report

    SAP BusinessObjects Planning and

    Consolidation Excel interface

    Dashboards embedded in SAP BusinessObjects

    Planning and Consolidation

    Starter Kit for Liquidity PlanningScenario Diagram Upload and Harmonize Liquidity Data

  • 2011 SAP AG. All rights reserved. 24

    Demo

  • 2011 SAP AG. All rights reserved. 40

    Agenda

    1. Understanding liquidity planning as a top priority for treasurers2. Reviewing the starter kit for liquidity planning

    What is a starter kit? Presenting the starter kits functional scope What SAP solutions is the starter kit a pre-configuration for? Walking through the liquidity planning and forecasting scenario enabled by the

    starter kit

    3. Viewing a demo4. Wrap-up

  • 2011 SAP AG. All rights reserved. 41

    Input Templates

    Import aggregated liquidity data from the SAP NetWeaver BW EDW (captureany liquidity relevant information from any source system)

    Import aggregated data into the Excel workbook in SAP BusinessObjects Planning and Consolidation

    Embedded Intelligence

    Utilize embedded liquidity calculations and currency translation functions

    Leverage dynamic time frame views of cash flows (daily, monthly andquarterly views available)

    Reports

    Drill-through to source systems (e.g., BEx report, ERP or any Web applicationthat can be accessed via url)

    Drill-down/up to daily, monthly and quarterly views in out-of-the-box liquidity planning report

    Dashboards Visualize working capital metrics, cash inflow/outflows and other key

    performance indicators in a highly-interactive, graphical environment

    Make manual adjustments directly within the dashboard

    Starter Kit for Liquidity PlanningFunctional Summary

  • 2011 SAP AG. All rights reserved. 42

    Resources

    Dr. Karol Bliznak, What You Need to Know about the Starter Kit for Liquidity Planning for SAP BusinessObjects Planning and Consolidation, version for SAP NetWeaver (Financials Expert, February 2011): www.financialsexpertonline.com/article.cfm?id=5667

    Press release on the starter kit for liquidity planning: www.sap.com/press.epx?pressid=14306

    SAP and Deloitte Webcast recording: Building Blocks of Best Practices for Liquidity Planning: How to Take Control of Your Cash Flow (November, 2010) on cfo.com: www.cfo.com/webcasts/index.cfm/l_eventarchive?webcast=14530437

    YouTube: www.youtube.com/user/SAPBPC#p/u/0/NMDxzSY_U7k SAP and Deloitte the joint Responsive Finance initiative:

    www.deloitte.com/view/en_US/us/Services/consulting/technology-consulting/sap-consulting/887d8968b2ab6210VgnVCM100000ba42f00aRCRD.htm

    More info on SAP BusinessObjects Planning and Consolidation: www.sap.com/sapbusinessobjects/planning_and_consolidation

    To learn more about SAP BusinessObjects enterprise performance management (EPM) products in general, go to: www.sap.com/solutions/performancemanagement/

  • 2011 SAP AG. All rights reserved. 43

    7 Key Points to Take Home

    SAP and Deloitte collaborated on the starter kit for liquidity planning.

    Deloitte is the preferred implementation/services partner for the starter kit for liquidity planning. Deloitte and SAP consultants have access to the starter kit and provide implementation services to tailor it to your organizations specific needs.

    The starter kit as a pre-configuration is available for the SAP BusinessObjects Planning and Consolidation application, version for the SAP NetWeaver technology platform and for SAP BusinessObjects Dashboards.

    With the starter kit, you can:

    Access detailed cash-flow information

    Model the impact of different company and currency scenarios on cash flows

    And prepare executive reports based on those scenarios

  • 2011 SAP AG. All rights reserved. 44

    7 Key Points to Take Home (cont.)

    The kit supports the automatic import of data from the SAP ERP Financials solution and any other enterprise resource planning (ERP) system. You can import:

    Direct transaction data (such as information related to accounts payable, accounts receivable, or financials)

    As well as indirect forecast data (such as information related to capital expenditures, sales, or human resources)

    Using an intuitive interface, you can analyze:

    Cash inflows (such as committed sales, pending accounts, or receivables)As well as cash outflows (such as account payables and tax payables)

    You can make manual calculation adjustments on the fly and run different scenarios to see the potential effects of changes to specific liquidity variables.

  • Your Turn: Questions?

    Contact information:

    Marc [email protected]