Cash Flow and Financial Statement Analysis
CPE Credit: 2 hours
Join us to examine traditional analysis techniques to recognize their strength and limitations when performing cash flow and financial statement analysis. Then take analysis to the next level by incorporation new measurements and techniques used by managements, investors and others in making assessments about an entity’s success.
Topics Covered
- Cash flow analysis
- Financial statement analysis
Learning Objectives:
- Apply both new and traditional financial statements and cash flow analysis techniques for specific entities
- Assess results from various perspectives: managements, investors, creditors, etc.
- Use cash flow statements and cash based ratios to find the real meaning behind accrual based data
- Evaluate debt structure, investment strategy, and quality of earnings
- Develop best practices and benchmarking procedures
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