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The Course of Building Financial Strategies with Analysis and Evaluation of Financial Constraints


Summary

The British Academy for Training and Development offers a course on building financial strategies with analysis and evaluation of financial obstacles. This training course provides a set of financial tools developed around how to use current and cash budgets to manage short-term operational risks. Additionally, it equips trainees with innovative financial tools for utilizing capital budgets in managing long-term operational risks. The course aims to impart skills to trainees for addressing real-world practice issues and applying operational risk management effectively.

Objectives and target group

The British Academy for Training and Development offers this course to the following categories:

  • Financial position statement on financial operations in the statement of financial position.
  • Comprehensive income statement report on financial operations in the statement of comprehensive income.
  • Cash flows statement of financial operations in the statement of cash flows.
  • Horizontal analysis and vertical analysis of financial operations.
  • Benchmarking and financial ratios measuring financial indicators and reference ratios.
  • Reports of financial operations in strategic financial analysis.
  • Use prediction techniques to assess the risks and obstacles to operating for financial transactions.
  • What is meant by the budget and its functions.
  • What is the meaning of the state budget and the budgets of companies

After completing the program, participants will be able to master the following topics:

  • How to prepare the balance of income.
  • What methods predict revenue.
  • How to prepare the current budget {operational}
  • What methods of forecasting expenses.
  • Using the current budget shortـterm operational risk assessment reports.
  • Liquidity assessment.
  • Components of cash budget and methods of preparation.
  • Address the technical and real financial difficulties and liquidity management in light of the cash budget.
  • Use of cash balances in reports and assessment of shortـterm operational risk.

Course Content

  • Components of the investment budget and methods of preparation.
  • What are the financing income of the investment budget.
  • What are the models of evaluation of investment projects listed in the budget.
  • How to use the investment budget in longـterm operational risk assessment reports.
  • What is the method of building budgets with business organizations?
  • What are the basic of planning budget and its functions.
  • What are the types of budgets and how they relate to the assessment and measurement of operational risks. 
  • What is the operational risk facing the establishments and what types.

Course Date

2024-11-11

2025-02-10

2025-05-12

2025-08-11

Course Cost

Note / Price varies according to the selected city

Members NO. : 1
£3800 / Member

Members NO. : 2 - 3
£3040 / Member

Members NO. : + 3
£2356 / Member

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