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Key figureForeign Currency Valuation in Valuation Currency Locate the document in its SAP Library structure

Technical name: 0CFMP0070

Use

CFM Transaction Manager
Reporting for a given date / evaluation of positions for the key date

The position values are subdivided into a series of independent, original position components.

The position management procedure you have assigned determines the valuation steps for key date valuation (security valuation, foreign currency valuation and/or index valuation). The system calculates the foreign currency write-ups and write-downs on the basis of the defined rate type.

The position component foreign currency valuation contains the total of the write-ups and write-downs for the foreign currency to date.

This key figure is displayed in valuation currency. You define the valuation currency for each (parallel) valuation area. This is the currency in which the positions in a valuation area are managed, and can therefore be regarded as the "local currency" of the valuation area.

 

Technical Data

Available as from Release

3.0B

Unit

 

Aggregation

 

Exception Aggregation

 

Calculation

 

Restriction

 

 

 

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