Instructor Led Cash Training in United Kingdom
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Cash Seminar Schedule
| Program | Location | |||
|---|---|---|---|---|
July, 2012 | ||||
| 2nd Jul | Planning Costing and Budgeting for Executive Decision-Making | London, London | [Register] | |
August, 2012 | ||||
| 6th Aug | Evaluating the Performance of Industrial Investments | London, London | [Register] | |
October, 2012 | ||||
| 22nd Oct | Planning Costing and Budgeting for Executive Decision-Making | London, London | [Register] | |
November, 2012 | ||||
| 5th Nov | Evaluating the Performance of Industrial Investments | London, London | [Register] | |
From Human Resource & Organisational Development Consultancy (HRODC) Postgraduate Training Institute
Accounting and Finance World Bank Compliant Course
... Horizontal and Vertical
Income Statement
Statement of Cash Flows
Subdivision of Cash Flows
Profit Does Not Equal Cash
Practical Illustration
Debit and Credit Recording
Analysis of Transaction
Trial Balance
Day 4: Ensuring the Quality of Financial Statements
Qualitative Characteristics
Relevance and Reliability
Measurement Principles
Materiality
Prudence
Regulation
Reviewing
more...
Accounting and Finance World Bank Compliant Course
... Horizontal and Vertical
Income Statement
Statement of Cash Flows
Subdivision of Cash Flows
Profit Does Not Equal Cash
Practical Illustration
Debit and Credit Recording
Analysis of Transaction
Trial Balance
Day 4: Ensuring the Quality of Financial Statements
Qualitative Characteristics
Relevance and Reliability
Measurement Principles
Materiality
Prudence
Regulation
Reviewing
more...
Advanced Oil Gas Accounting International Petroleum Accounting 3
...activities
Standardized measure of discounted future net cash flows relating to proved oil and gas reserve quantities
Future cash inflows
Future development and production cost
Future income tax expenses
Future cash flows
Discount
Changes in the standardized measure of discounted future net cash flows relating to proved oil and gas reserve quantities
Analysis of reasons for changes in
more...
Evaluating the Performance of Industrial Investments



...companies
- Examining financial statements
- Evaluating Cash Flow Statement
- Examining the Income Statement
- The Balance Sheet
- Nature, structure & contents of a balance sheet
- Strengths and weaknesses of a balance sheet
- Deducing Financial well-being from a balance sheet
- Manipulating a balance sheet
- Off-balance sheet items & their significance
- Vertical & horizontal
more...
SAP and Joint Venture Accounting
...sitioning and profitability and improve the all-important cash flow.
Personal Impact
Participants will be able to further develop their personal management skills by being:
Better informed financially, to enable improved management decision-making.
Better able to contribute to the effective financial management of their organisation.
Able to evaluate alternative courses
more...
Planning Costing and Budgeting for Executive Decision-Making


...r cost-benefit analysis
- Learn how to construct profit, cash and balance sheet plans and budgets
- Learn how to analyzed performance and evaluate variances from plan and identify corrective actions
- Understand the time value of money; understand discounted cash flow (DCF) techniques and their application to financial decision making
- Use and build EXCEL spreadsheets for financial
more...
Financial Accounting and Management Accounting


...e balance sheet
- The profit and loss account
- The cash flow statement
- Usefulness of financial statements
- Summary
* Test your understanding
* Application
* Activities for study groups
* Supplement: Using the accounting equation to analyses transactions
* Test your understanding
Module 4: Ensuring the quality of financial statements
more...
Advanced Financial Accounting
...elop operating and resource budgets
Develop profit and cash flow budgets using traditional and activity based methods
Assess the risk and uncertainty associated with alternative outcomes
Use budgetary control to compare actual against planned performance and to identify corrective actions
Evaluate investments in capital and long-term projects using PB, ARR, NPV and IRR appraisal
more...
From Spectrum Training Services
Graduate Development - Developing Business Awareness

...based activity where you will be responsible for managing cash and processing wages payments for a group of employees and we really dona t want to get that wrong do we?
Deadline 30 minutes team activity
Managing and minimising the impact of mistakes
Work effectiveness indicator, assess yourself against 20 work effectiveness competencies
Powerful Problem Solving;
An opportunity
more...
From Cosensa Learning & Development Ltd
Finance for non-finance Managers
Course Objectives:
This financial training course has been specifically designed for employees at middle and senior management level who do not have day-to-day involvement in financial activities. This programme will help delegates understand and interpret key financial documents, describe and explain the importance of key financial ratios and understand different types of cost and how to manage
more...
From London Financial Studies
Equity Derivatives Valuation and Management


Course Outline
Equity derivatives have been growing in importance over a number of years and are now well established in the financial marketplace. This seminar is for anyone who wishes to be able to price, use, manage or evaluate equity derivatives and exotic equity options. More than half of the seminar is devoted to practical small group sessions.
Who The Course is For
Anyone who wishes
more...
Asset Backed Securities Assessment and Management of Risk


Course Outline
This intensive and participative 2-day programme covers the key elements of asset-backed securities and in particular mortgage backed securities. Terminology, procedures, models and applications of ABS concepts will be included along with the latest products used for hedging the risks and for developing new markets. The first day will cover the risk factors, prepayment models
more...
Property Derivatives


Course Outline
Terminology, procedures, models and applications related to the latest real-estate derivatives will be covered in this course. The first day is dedicated to forwards and futures and to the introduction of a new type of modelling based on mean-reverting models with nonlinear trend. Day two covers total return swaps and options pricing and risk calculations based on value-at-risk
more...
Managing Liquidity Risk in Financial Institutions



...
Auditors (internal and external)
Fixed Income traders (cash and derivatives)
IT professionals specialised on treasury systems
Executives who are members of ALCOS (asset a liability committees)
Prior Knowledge
It is assumed that participants are familiar with a bank's treasury operations and fundamental market instruments such as swaps, swaptions, FRAs, futures and vanilla FX
more...
From Ripley Training Limited
Finance for Non-Financial Managers Training Course
... get to grips with financial statements.
a Understand cash flow and cash management
a Be able to radically improve planning and budgeting skills.
a Know what management accounting is and costing on a relevant and accurate basis.
a Know what figures reveal a understanding and interpreting accounts.
a Be more aware of the impact of decisions on the profitability of the
more...
From Act Training
Sage 50 Accounts Level 2
Intermediate level one day hands-on instructor led course on Sage 50 Accounts. Topics include: Fixed Assets & Depreciation, Delivery Addresses, Entering Purchase Orders, Purchase Order Skeletons, Processing Purchase Orders, Product Records & Purchase Orders, BOMs & Product Transfers, Product Pricing Options, Entering Sales Orders,
Recurring Sales Order Skeletons, Processing Sales Orders, More
more...
From Financial Training Associates Ltd
LBO modelling course

...ants start with a blank spreadsheet and create a detailed cash flow model from scratch, just like they might have to when modelling in their own workplace. Delegates are guided through a complete model build up and are shown all the steps they need to take. All through the course plenty of guidance and assistance is given by the course instructor.
As part of their work on the course
more...
Financial modelling course - 3 days
...pportunity to practise and improve their ability to model cash flows in Excel.
The course is conducted in a work shop format, with the emphasis on a learning by doinga .
During the programme delegates create a cash flow model from scratch. Delegates are guided through a model build up and are shown all the steps they need to take. Plenty of guidance and help is given by the course
more...
Project finance modelling masterclass - 3 days
This course provides the opportunity for delegates to practise and improve their ability to build project finance models using Excel. The course is conducted in a work shop format, with the emphasis on a learning by doinga .
On this course, and as a key learning tool, participants start with a blank spreadsheet and create a project finance model from scratch. Delegates are guided through a
more...
From Accounts Training Ltd
Finance for Non-Financial Managers
...l terminology, explain the difference between profits and cash flow
and show you how to understand the driving factors behind financial information enabling you to
connect the facts with the figures, prepare budgets and communicate confidently in financial terms.
Finance for Non-Financial Managers is designed to be as practical and realistic as possible and uses
real budget reports, case
more...
Understanding Company Accounts Introduction
... audit report, balance sheet, profit and loss account and cash flow statement, this is the course for you.
Course content
The difference between management accounts and statutory accounts
What to look for in an audit report
What are the basic accounting concepts
The profit and loss account and the five profit figures:
PBIT/ EBIT, EBITDA, PBT/ EBT, PAT and
more...
From Spearhead Training Group Ltd
Financial Training



...ow money is used in a business and the difference between cash flow and profit. This is followed by a session explaining the different types of costs and how they are quantified. Then the course moves on to look at statutory accounts and management accounts. Before very long, under the helpful guidance of the tutor, delegates begin to analyse a set of accounts and as their confidence builds
more...
From Ambar Hamid Training
B2B B2C Marketing Workshop in London
...t to creating super-loyal customers who actually have the cash to spend
How to set up your product or service so that it will sell time and time again.
How to get targeted traffic using the most cutting edge hidden Web 2. 0 strategies.
A core skill to erase any information overload challenge so you easily remain completely focused while working and free from worry when not working.
more...
From FitchTraining
Counterparty Credit Risk in Derivatives


A three-day workshop for credit risk, derivative and finance professionals to assess counterparty risk in derivative transactions. It imparts the skills needed to assess the types and amounts of credit exposure in the major derivative products and to mitigate risk using lessons learned from the recent crisis.
more...
Analyse Risque de Credit et Cash-Flow
La objectif principal de ce s minaire de 4 jours est de renforcer les comp tences en analyse de cr dit, en utilisant une approche structur e et syst matique pour valuer la qualit de cr dit da une entreprise et le couple risque/ rendement da une proposition de cr dit ou da investissement obligataire dans cette soci t .
more...
From Eureka Financial Ltd
Family Office Workshop - 30 Sept.-1 Oct. London


This intensive 2 day training run by a family office advisor with many years of experience from the sector covers in-depth different aspects of managing family wealth and running a modern family office. From operational setting, choosing investment strategy and asset allocation, to cost and risk management, tax advisory and philanthropy - you will explore the latest wealth management strategies.
more...
LBO Merger Modelling



...isposals
Generate an accretion/ dilution analysis
Using cash and the P/ E of cash analysis
Explore the accretion/ dilution ratio vs. wealth generation
Prerequisites: To attend this course, participants should have an intermediate knowledge of accounting, a good working knowledge of financial modelling and Excel and a good understanding of traditional valuation methodologies.
You can
more...
From Ambar Hamid Training
Web Marketing Domination Workshop


...t to creating super-loyal customers who actually have the cash to spend
* How to set up your product or service so that it will sell time and time again.
* How to get targeted traffic using the most cutting edge hidden Web 2.0 strategies.
* A core skill to erase any information overload challenge so you easily remain completely focused while working and free from worry when not
more...
From MIS
From Bayfield Training Ltd
Real Estate Analyst
Real Estate Sales & Aquisitions based course covering valuations, cash flows, detailed rent projections, debt and equity financing and risk analysis techniques. This very practical course dovetails the theoretical principles of real estate investment with mathematics and software skills.
The course is 100% hands on using excel with small class sizes. The course comes with detailed course
more...
From Reed Learning plc
Credit Crunch Masterclass

...ital and steps that can be taken to improve the company's cash flow.
What do you get out of it?
a Steps for managing cash flow: both cash in and cash out of your business to give you business the air it needs to breathe
a An ability to apply these techniques to your cash flow forecasting processes
a A series of practical tips you can apply to your business and an understanding of
more...
From Topline Business Brokers Ltd
Business Broker Training
...ess
What to include
The preferred layout
The recast cash flow summary worksheet
Recasting the profit and loss statement
What is a ownera s discretionary cash flowa (ODCF)
Expense items to consider when adjusting for ODCF
How to calculate the final figure for ODCF
Form to use to clearly show calculation to buyer prospect
Other items to include in the marketing package
more...
