What customizing settings do you apply to automatically create hedge accounting data? Note: There are 3 correct answers to this question.
Which of the following configurations are shared between Accounts payable and Treasury payment programs?
(2 Correct Answer)
Which tool do you use to integrate data from Treasury and Risk Management to One Exposure from Operations Hub?
Where the system calculates a premium for the transactions and saves this only as a current market value?
After you activate financialobject integration for Market Risk Analyzer, what becomes available for the contracts?