
Excel, Accounting, Financial Statement Analysis, Business Analysis, Financial Math
What you'll learn
- Read and interpret Balance Sheets
- Read and interpret Income Statements
- Calculate key financial ratios
- Work comfortably with Microsoft Excel Format spreadsheets in a professional way
- Perform Financial statement analysis
- Calculate Liquidity, Solvency, Profitability,
- Calculate Current Ratios, Debt to Equity Ratio and Gross Margin
Requirements
- None
Description
· Accounting, Financial Statements, and Financial Ratios: Profit and Loss statements, Balance Sheets, Liquidity, Solvency, Profitability, and Growth Financial Ratios· Business Analysis: Understanding what drives a Business, Key Items to be Analyzed and their Meaning
· Build a company’s P&L from scratch
· Build a company’s Balance sheet from scratch
· Perform Financial statement analysis
· Understand the importance of timing in terms of revenue and cost recognition
· Calculate Liquidity, Solvency, Profitability, and Growth ratios to analyze a company’s performance
· Understand 10-K reports
· Assess whether a project is feasible through the Net present value technique
· Calculate a complete loan schedule
· Understand the difference between variable and fixed interest rates
· Perform industry analysis
· Understand what drives a company’s value
· Know how to analyze a business
· Work comfortably with Microsoft PowerPoint
· Accounting, Financial Statements, and Financial Ratios: Profit and Loss statements, Balance Sheets, Liquidity, Solvency, Profitability, and Growth Financial Ratios
· Business Analysis: Understanding what drives a Business, Key Items to be Analyzed and their Meaning
· Build a company’s P&L from scratch
· Build a company’s Balance sheet from scratch
· Perform Financial statement analysis
· Understand the importance of timing in terms of revenue and cost recognition
· Calculate Liquidity, Solvency, Profitability, and Growth ratios to analyze a company’s performance
· Understand 10-K reports
· Assess whether a project is feasible through the Net present value technique
· Calculate a complete loan schedule
· Understand the difference between variable and fixed interest rates
· Perform industry analysis
· Understand what drives a company’s value
· Know how to analyze a business
· Work comfortably with Microsoft PowerPoint
Who this course is for:
- Professionals interested in what financial statements are.
- Professionals interested in how financial ratios work.
- Anyone interested in learning how to read and interpret balance sheets
- Anyone interested in learning how to read and interpret income statements