Advanced Financial Statement Analysis - Liquidity, Activity, Leverage, Operating Performance, Cash Flow, Z-Score and Case Studies 2019 is a webinar dedicated to the vital world of advanced financial statement analysis.
Advanced Financial Statement Analysis - Liquidity, Activity, Leverage, Operating Performance, Cash Flow, Z-Score and Case Studies 2019 covers topics such as:
- Activity: How to correctly interpret a company’s accounts receivable, accounts payable, and inventory turnover. The turnover calculations will then be used to determine a company’s cash conversion cycle
- Liquidity: How to determine the true cash position of a company by eliminating certain current asset accounts from the working capital, current ratio, and quick ratio calculations
- Operating Performance: How to gauge a company’s true profitability and the difference between accrual versus cash basis income statements
- Leverage: How to calculate the debt versus equity position of a business and adjust the calculation through the use of a subordination agreement
- Related topics of the Z-score (bankruptcy predictor) and the sustainable growth models
- Cash Flow: Calculate, interpret, and apply cash flow models including traditional EBITDA, fixed-charge coverage, free cash flow (FCF), cash basis cash flow, and uniform credit analysis cash flow (UCA)
- The five-part analysis model and the correct interpretation of the financial statements
Advanced Financial Statement Analysis - Liquidity, Activity, Leverage, Operating Performance, Cash Flow, Z-Score and Case Studies 2019 is intended for:
- Credit Analysts
- Commercial Lenders
- Business Owners
- Relationship Managers
- Risk Managers and Officers
- Compliance Managers and Officers
- Presidents / Vice Presidents
- Controllers
- Sales Representatives
- Managers / Supervisors
- Retail Businesses Owners
- Marketing Personnel
- Stock Room Personnel
- Maintenance and Security Employees
- Business Vendors