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 Advanced Finance Fundamentals 30 Sep Kuala Lumpur Malaysia QR Code
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Finance and Accounting

Advanced Finance Fundamentals


REF : F155 DATES: 30 Sep - 11 Oct 2024 VENUE: Kuala Lumpur (Malaysia) FEE : 7950 

Overview:

Introduction:

This training program delves into the advanced concepts of finance, providing participants with a deep understanding of financial analysis, strategic investment, and risk management. It empowers participants to apply sophisticated financial techniques, optimize corporate financial strategies, and enhance decision-making in complex financial environments.

Program Objectives:

By the end of this program, participants will be able to:

  • Master advanced financial analysis techniques.

  • Implement strategic investment decisions.

  • Optimize corporate finance strategies.

  • Analyze and manage financial risks.

  • Apply advanced principles of capital budgeting.

Targeted Audience:

  • Financial Analysts.

  • Investment Managers.

  • Corporate Finance Professionals.

  • Financial Consultants.

  • Senior Accountants.

Program Outline:

Unit 1:

Advanced Financial Statement Analysis:

  • In-depth analysis of income statements, balance sheets, and cash flow statements.

  • Advanced ratio analysis and interpretation.

  • Techniques for trend and variance analysis.

  • Evaluating financial health and performance.

Unit 2:

Strategic Investment Decisions:

  • Principles of strategic investment.

  • Portfolio theory and asset allocation.

  • Advanced techniques for investment appraisal.

  • Real options in investment decision-making.

  • Case studies on successful investment strategies.

Unit 3:

Corporate Finance Strategies:

  • Capital structure optimization.

  • Cost of capital and funding strategies.

  • Dividend policy and its impact on value.

  • Mergers, acquisitions, and corporate restructuring.

  • Practical examples of corporate finance strategies.

Unit 4:

Financial Risk Management:

  • Identifying and assessing financial risks.

  • Advanced risk management tools and techniques.

  • Hedging strategies using derivatives.

  • Stress testing and scenario analysis.

  • Applications in risk management.

Unit 5:

Capital Budgeting and Investment Appraisal:

  • Techniques for evaluating capital investment projects.

  • Net Present Value (NPV) and Internal Rate of Return (IRR).

  • Managing capital investment portfolios.

  • Risk-adjusted discount rates.

Unit 6:

Advanced Cash Flow Management:

  • Cash flow forecasting and planning.

  • Liquidity management techniques.

  • Working capital optimization.

  • Cash conversion cycle analysis.

  • Tools for improving cash flow efficiency.

Unit 7:

Financial Modeling and Forecasting:

  • Building robust financial models.

  • Scenario analysis and sensitivity testing.

  • Forecasting techniques for revenue and costs.

  • Using financial models for strategic decision-making.

  • Best practices in financial modeling.

Unit 8:

Global Financial Markets and Instruments:

  • Overview of global financial markets.

  • Understanding financial instruments: stocks, bonds, derivatives.

  • Impact of global economic factors on finance.

  • Strategies for navigating volatile markets.

Unit 9:

Corporate Governance and Ethics in Finance:

  • The role of corporate governance in finance.

  • Ethical considerations in financial decision-making.

  • Regulatory frameworks and compliance.

  • Corporate social responsibility (CSR) in finance.

Unit 10:

Performance Measurement and Financial Metrics:

  • Key financial performance indicators (KPIs).

  • Balanced scorecard approach in finance.

  • Economic Value Added (EVA) and other advanced metrics.

  • Linking financial performance to strategic goals.

  • Continuous improvement in financial performance.