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Component: FIN-FSCM-CMM-BR
Component Name:
Description: SAP Broker Reconciliation for Commodity Derivatives Date on which a trade is executed on the exchange.
Key Concepts: Trade date is a term used in SAP Financial Supply Chain Management (FSCM) Credit Management (CMM) Business Rules (BR). It is the date on which a trade transaction is entered into the system. This date is used to determine the payment terms and conditions for the transaction. How to use it: The trade date is used to determine the payment terms and conditions for a transaction. It is important to ensure that the trade date is entered correctly in order to ensure that the payment terms and conditions are applied correctly. The trade date can be entered manually or automatically by the system. Tips & Tricks: It is important to ensure that the trade date is entered correctly in order to ensure that the payment terms and conditions are applied correctly. If the trade date is incorrect, it could lead to incorrect payment terms and conditions being applied. Related Information: The trade date is related to other terms such as payment terms, due dates, and credit limits. It is important to understand how these terms interact with each other in order to ensure that payments are made on time and credit limits are not exceeded.