Curriculum
- 6 Sections
- 31 Lessons
- 3 Days
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- The Competitive Challenge in the 21st Century4
- Fundamentals of Financial Modelling2
- Mastering Financial Analysis6
- 3.0Building a Financial Ratio Database in Excel
- 3.1Practical Modelling: The Cost-Volume-Profit Relationship
- 3.2Measuring and Improving Return On Investment
- 3.3Measuring and Improving Asset Management Efficiency
- 3.4Measuring and Managing Capital Structure and Risk
- 3.5Practical Modelling: The Effect of Gearing on Shareholders’ Earnings
- Improving Financial Forecasting7
- 4.0Practical Modelling: Using Excel Statistical Analysis Tools
- 4.1Avoiding Common Forecasting Problems
- 4.2Using Moving Averages to Analyse Time Series Data
- 4.3Using Linear Regression for Sales Trend Analysis
- 4.4Using Excel Solver to Minimise Forecasting Error
- 4.5Using Regression and Correlation to Forecast Costs
- 4.6Practical Modelling: Cash Flow Forecasting
- Financial Models to Improve Investment Decision-making6
- 5.0Principles of Capital Investment Decision-making
- 5.1Sources and Cost of Business Finance
- 5.2Practical Modelling: Using Excel Discounted Cash Flow Tools
- 5.3Practical Modelling: Capital Investment Analysis
- 5.4Essentials of Business Valuation
- 5.5Practical Modelling: Business Valuation Based on Shareholder Value Added
- Managing Risk and Uncertainty6
Identifying the Key Drivers of Financial Performance
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