Financial Modelling

London Corporate Training
En London (Inglaterra)

£ 2,550 - ($ 68,819)
más IVA

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 organisational 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
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¿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