Certificate in Cash Flow and Forecasting

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Introduction

This course will encompass a thorough walkthrough of cash flow from the cash drivers of different businesses to the cash from operations and free cash flow. The importance of understanding the accounting cash flow statement prepared for financial statements will be covered in detail. Delegates will be taken through the derivation of free cash flow and how it can be used in both corporates and banks. Cash flow ratios will be developed and used in order to verify and check cash flow calculations.

The second part of the course will cover the forecasting of cash flows, using the knowledge gained in the first part of the course. The process of forecasting the cash flow will be based on using assumptions and historical figures, the forecast income statement and forecast balance sheet. The end result will be a fully balancing set of forecast financials with a cash flow forecast. The course will include numerous cash flow forecasts’ templates for different types of businesses.

Key business benefits

  • Review figures of selected international companies and highlight the differences between profits and cash;
  • Analyse major companies’ cash flows;
  • Review different companies’ cash flows and identify potential problems; 
  • Prepare interpretation of numerous cash flow statements;
  • Evaluate the drivers of cash flow of numerous companies;
  • Prepare a simple forecast model to incorporate seasonality.

Skills Acquired

  • Comparison of different cash flows;
  • Compare debt capacity and cash flow in a corporate;
  • Analyse cash flow ratios versus traditional financial ratios;
  • Construct a cash flow statement ǽ Prepare a detailed cash budget;
  • Prepare a detailed cash budget;
  • Build a forecast model and incorporate debt service capacity.

Learning objectives

  • Interpret cash flow statements and ratios, and identify positive and negative corporate performance;
  • Appreciate why cash flow analysis is more important than balance sheet and income statement analysis; 
  • Evaluate free cash flow and the ability of companies to meet their financial commitments;
  • Use the latest computer spread sheet formats in projecting cash flow.

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