Do you have any question about this SAP term?
Component: FS-LRM
Component Name: Liquidity and Risk Management
Description: An optional value that allows selection of variants of a set of rules for mapping cash flow attributes to cash flow dimensions. Allows customers to set dynamically internally-used cash flow dimensions.
Key Concepts: Report scope in SAP FS-LRM Liquidity and Risk Management is a feature that allows users to define the scope of a report. This includes the selection of data sources, the selection of data fields, and the selection of report parameters. The report scope also defines the output format of the report, such as PDF or Excel. How to use it: To use the report scope feature in SAP FS-LRM Liquidity and Risk Management, users must first select the data sources they want to include in their report. This can be done by selecting from a list of available data sources or by manually entering the data source name. Once the data sources have been selected, users must then select the data fields they want to include in their report. This can be done by selecting from a list of available fields or by manually entering the field names. Finally, users must select the report parameters they want to include in their report. This can be done by selecting from a list of available parameters or by manually entering the parameter names. Tips & Tricks: When using the report scope feature in SAP FS-LRM Liquidity and Risk Management, it is important to remember that all selected data sources, fields, and parameters must be compatible with each other in order for the report to be generated correctly. Additionally, it is important to remember that some reports may require additional parameters or filters in order to generate accurate results. Related Information: For more information on using the report scope feature in SAP FS-LRM Liquidity and Risk Management, please refer to the official SAP documentation at https://help.sap.com/viewer/product/FS_LRM/1H2020/en-US.