Why Attend
In today’s world, finance professionals are challenged with providing management a detailed analysis of the impact of the organization's financial decisions. Therefore, finance professionals need to be skilled at reading through the numbers on the financial statements, analyzing the figures, interpreting the various ratios and presenting this analysis in a dynamic manner. This course takes you from the first step of understanding the relationships between the different elements of financial statements, through the process of calculating and analyzing the financial ratios, to the last step of presenting recommendations. While applying Excel tools and techniques, various real life examples of published financial statements will be used throughout the course.
This course demonstrates theoretical core topics in addition to introducing Excel’s ability to perform various types of financial analysis. The course also features the use of a number of real-life case studies and presentations by participants followed by discussions.
By the end of the course, participants will be able to:
Professionals in the field of finance and accounting, financial analysts, department heads, senior management team members, financial controllers, finance managers, and chief and financial accountants who perform business analysis and provide financial recommendations.