General
Cashwalk
CMM
ACM
Others
100

Treasury Management System that acts as an intermediary between the Banks and the SAP GL Accounts.

Wall Street System

100

Four way matching to reconcile cash balances between these 4 modules.

Cash Walk

100

Where can you find the list of cash records that have been rejected?

Cash Transaction Report

100

Display accounting transactional detail by account for a specified period

Accounting Entry State Report

100

Platform that standardizes every GM unit’s payment instructions to the banks, sends remittance advice to DB to release payments from GMGTC netting sub accounts to external suppliers

Gepara

200

Payments and receipts related to daily operation of a business unit.

Operating Cash

200

How many cash walk does GBS Treasury Manila prepares for all hierarchies?

9

200

CMM stands for?

Cash Management Module

200

What do we use to post an entry in ACM?

Accounting Manager

200

How many times does WSS run its auto job in a day?

3

300

To whom we coordinate if there are missing bank transaction?

Sustain Team

300

If there is a funding to a netting subaccount, in what clearing account will it show in the cash walk?

4408 account

300

Where can we see as of ending balance of bank accounts?

GM Prior Day Bank Statement or Bank Balance Analysis

300

What does ACM stands for?

Accounting Module

300

Zero balance disbursement bank accounts used to make the netting payments.

Netting Subaccount

400

Grouping of bank accounts to facilitate WSS bank reconciliations, forecasting and applying BTIR rules.

Hierarchy

400

What is the threshold in reporting variances in the cash walk report?

$5,000.00

400

What is the cash flow type when business units made a deposit to GMGTC/Global Funding team?

Pool

400

How many hierarchies GBS Treasury Manila generate trial balance in ACM in preparing cash walk?

10

400

Miscellaneous wires booked for infrequent and unusual cash flows

Miscon

500

What are the accounting entries when the concentration bank account transfer cash to the operating bank account and then the operating bank account made a payment to a supplier?

Dr. 10021 Cr 1002 (sweep)

Dr 1002 Cr 4411 (supplier payment)

500

In general, what are the different reports included in preparing cash walk?

Unrecon Bank, Unrecon Cash Records, CMM Bank_External, CMM Bank_Internal, ACM Monitor (Final), ACM TB Summary (Final) and SAP.

500

Give three examples of cash flow types that requires manual reconciliation in CMM.

BANKFEE, BANKINT, MISCON, POOL, SWEEP, COMMP, COMMR

500

Open a specific entity’s ledger (general ledger account details and movement)

Accounting Monitor

500

Most transactions are set up to generate a corresponding cash record that is finalized in the system. Daily operational transactions are assigned to dedicated bank accounts. Bank Transaction Import Rules (BTIRs) are pre-set in CMM to read the transactional activity within these accounts.

Auto Finalization

M
e
n
u