Financial Modelling

London Corporate Training
En London (Inglaterra)

£ 2,550 - ($ 65,355)
IVA inc.

Información importante

  • Short course
  • Intermediate
  • London (Inglaterra)
  • Duración:
    1 Week
  • Cuándo:
    otras fechas

To appreciate the key concepts of financial modelling and techniques To examine the importance, implications and uses of financial modelling in both organizational decision making and strategy implementation To appreciate the analytical tools available within financial modelling To provide hands-on model design and construction

Información importante
¿Esta formación es para mí?

Financial practitioners who are looking to develop their financial modelling skills Managers seeking to explore the benefits of financial modelling for their organisation


Dónde se imparte y en qué fechas

Inicio Ubicación
10 abril 2017
29 agosto 2017
18 diciembre 2017
3 Shortlands, Hammersmith, London, W6 8DA, London, Inglaterra
Ver mapa

¿Qué aprendes en este curso?

Risk Management
Financial Modelling
IT risk
Financial Training
Financial statements
Capital Structure
Financial Managemen
Financial Ratio
Financial Ratio Analysis

Programa académico

Role & Function of

Financial Modelling

·The use and impact of financial models within the public sector

·Financial modelling and scenario planning

·Key features and benefits of financial models

·Global best practice

Practical Financial Modelling

·Developing the base model

·Identification, creation and linkage of sub models

·Ensuring formulae accuracy

·Key analysis tools within financial modelling

Financial Ratio Analysis

·Integration of financial ratio analysis within financial models

·Capital structure models

·Return on investment (ROI) models

·Budget and forecasting models

Financial statements

·Integration of budgets & forecasting within financial models

·Linking budgets with financial statements

·Utilising financial modelling for forward prediction

·Developing a bespoke financial management information model

Effective Risk Management

·Overview of risk factors within financial modelling

·Developing effective risk management strategies

·Testing of financial models as a contribution to effective risk management

·Case study analysis –applications of financial modelling