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sap-tr

Stars13
Forks5
UpdatedMay 15, 2026 at 14:01

This skill handles SAP Treasury and Cash Management including liquidity forecasting, cash position reporting, bank statement processing, payment runs, house bank configuration, and treasury instruments. Use when user mentions TR, treasury, FF7A, FF7B, liquidity, cash position, FLQDB, FLQITEM, bank statement, MT940, FEBP, F110, house bank, FI12, payment method, DME, FLQC10, BCM, bank account management, One Exposure, cash forecast, planning level, check management, FCHI, bank communication.

Installation

Install with Codex or Claude Copy this prompt, paste it into Codex, Claude, or another assistant, and let it review the skill page and install it for you.

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