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sap-treasury-cash-risk-review

Review SAP Treasury and Risk Management (TRM) and Cash Management configurations: cash position and liquidity forecasting controls, bank account management (BAM) governance, in-house cash and payment factory design, hedge and exposure management controls, fraud prevention in payment processing, and segregation of duties across treasury operations. Flags control gaps in cash visibility, unauthorized payment release paths, hedge documentation deficiencies, bank account governance weaknesses, and fraud control bypass risks. Does not execute payments, trades, or hedges, and does not access any live treasury or banking system.

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来源信息

仓库
Raishin/vanguard-frontier-agentic
最近来源活动
2026年6月19日 05:29
检测到的 SKILL.md 语言
英语
星标
18
分支
3

安装方式

默认使用会先检查来源的 Prompt;你也可以切换为直接命令,或下载本地副本。

检查来源文件

决定是否安装前,请先阅读 SKILL.md,以及 SkillsMP 当前展示的配套文件。