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Component: FS-TXS
Component Name: Funding Management
Description: Part of the securitization transaction, that cannot be calculated by the system. It could be a cost line item in the waterfall e.g. trustee fees. It could also be information that is required for investor reporting, such as specific dates or ratings information.
Key Concepts: Condition is a feature of the FS-TXS Funding Management component of SAP that allows users to define rules and conditions for the allocation of funds. It enables users to set up conditions for the distribution of funds, such as the amount of funds to be allocated, the type of funding, and the criteria for eligibility. How to use it: To use condition in FS-TXS Funding Management, users must first define the conditions they want to apply. This can be done by setting up rules and parameters for the allocation of funds. Once these conditions are set, users can then allocate funds according to these conditions. Tips & Tricks: When setting up conditions in FS-TXS Funding Management, it is important to ensure that all conditions are clearly defined and that all parameters are correctly set. This will help ensure that funds are allocated correctly and efficiently. Related Information: For more information on condition in FS-TXS Funding Management, please refer to the SAP Help documentation or contact your local SAP support team.