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Component: FS-TXS
Component Name: Funding Management
Description: Within the asset-pool, the funding transaction that is being funded.
Key Concepts: Asset side is a term used in the SAP FS-TXS Funding Management component. It refers to the side of a transaction that is responsible for providing the funds for the transaction. This could be a bank, an investor, or any other entity that provides the funds. How to use it: In SAP FS-TXS Funding Management, asset side is used to identify the source of funds for a transaction. This information is used to track and manage the funds and ensure that they are properly allocated and accounted for. Tips & Tricks: When entering asset side information into SAP FS-TXS Funding Management, it is important to ensure that all of the necessary information is included. This includes the name of the entity providing the funds, their contact information, and any other relevant details. Related Information: Asset side is closely related to liability side, which refers to the side of a transaction that receives the funds from the asset side. In SAP FS-TXS Funding Management, both asset side and liability side must be identified in order to properly track and manage funds.