Collateral Management (FS-CMS)
Business Partner in Collateral Management
Business Partner Collateral Overview
Determining the Allowed Collateral Coverage Gap
Collateral Partner
Workbench for Collateral Management
Creating New Collateral Entities
Searching for Collateral Entities
Copying Collateral Entities
Managing Layouts
Collateral Entities and Data Constellations
Collateral Object
Scenarios Supported in Collateral Management
Aircraft
Collateral Object Bundle
Claim
Devices
Inventory
Other Valuables
Ships
Vehicle
Real Estate
Creating a Real Estate
Land Register
Creating a Land Register Page
Changing a Land Register Page
Assigning Multiple Land Register Pages to Real Estate
Assigning Land Register Page to Multiple Real Estates
Real Estate Valuation
Securities Account
Creating a Securities Account
Creating a Depository Bank
Maintaining Class Master Data
Maintaining Price for Class Master Data
Collateral Agreement
Collateral Terms to Determine Scope of Collateral Agreement
Declaration of Purpose
Portion of a Collateral Agreement
Restriction on Collateral Agreement Portion
Assignment of Receivables
Assigning Receivables to Collateral Agreements
Determining the Receivable Amount to be Collateralized
Overlap in Receivable Amount to be Collateralized
Scenarios Supported in Collateral Management
Real Estate Lien
Registered Lien
Guarantee
Pledge
Assignment
Transfer
Non-Collateral Right
Other Collateral Agreements
Relationships Between Collateral Agreements
Pool Agreement
Features for Pool Agreements in Collateral Management
Collateral Backed Collateral Agreements
Transitional Collateral Agreement
Special Arrangement for Collateral Agreement
Defining Customizing Framework for Special Arrangements
Creation of Special Arrangements
Scenarios Supported for Special Arrangements
Trust Order
Notary Declaration
Encumbrance Exemption Declaration
Pledge of Notice of Ownership Transfer
Declaration of Property Developer
Business Transactions
Receivable
Creation of a Receivable
Displaying a Receivable
Collateral Calculations
Analyzing Data Constellation for Calculations
Currency Translation
Determining Final Value Available from Collateral Object
Intermediary Calculations for Collateral Objects
Lending Value
Lending Limit
Lending Ranges
Determining Final Value Available From Collateral Agreement
Intermediary Calculations for Collateral Agreements
Assessment Value
Collateral Right Value
Prior Charges
Loan-to-Value Ratios
Loan to Value Calculation for Collective Land Charge
Determining Collateral Value Available for Distribution
Collateral Value for Sureties in Pool Agreements
Intermediary Calculations for Collateral Value
Distribution of Collateral Value
Distribution to Receivables
Distribution to Lending Ranges
Distribution in Pool Agreements
Free Collateral Value
Other Calculations for Receivable
Coverage Gap Value
Overdraft Value
Collateral Processing
Determination of Charges
Liquidation
Liquidation Measure
Creating a Liquidation Measure
Status Management for Liquidation
Extraction of Collateral Entities Data For Reporting
Data Extraction
Change Pointers for Entities in Constellation
Collateral Monitoring
Batch Collateral Coverage Gap Monitoring (BCM)
Displaying Collateral Coverage Gap for Receivables
Determining Validity of Collaterals
Collateral Sheet
Process Configuration Framework
Organizational Structure
Creating Administration Organizational Units
Defining Controls for Collateral Entity Types
Process Control Key
Managing Status Control
Configuring User Interface
Workflow and Release
Plausibility Control
Managing Processes
Managing Business Activities
Authorization Management
Authorization Objects in Collateral Management
Authorization Checks in Collateral Management
Change Management
Change Request
Correspondence
Interfaces to External Systems
Integration with Business Partner
Integration with Document System
Integration with Loan Management
Integration with External Object Systems
BDT Environment