You will learn how to assess the financial condition of a company, calculate working capital, and help a business cope with debt. You will learn how to create a financial model of a business and analyze a budget. You will be able to understand your company’s finances, get a promotion, or start a career as an analyst.
What you will learn
Make forecasts
You will understand what external factors affect a business and how they can be predicted. You will learn how to analyze macroeconomic indicators, the market, and competitors.
Analyze financial statements
You will understand what to pay attention to in financial statements. You will learn how to compare reports from different companies and see data manipulation.
Assess the financial condition of a company
You will learn what financial stability and target capital structure are. You will learn how to assess risks, take debts into account, and plan lending.
Build a financial model
You will master the principles of building a financial model and learn how to forecast profits. You will be able to evaluate a business and build a financial model in Excel.
Calculate the value of a company on the market
You will understand what factors influence the value of a business in order to compare prices of companies in the same industry. You will be able to determine the value of a business during mergers and acquisitions.
Complete complex test tasks
You will create a project that completely replicates a test task in a Big Four financial company. Get detailed feedback and will be able to easily solve tasks when looking for a job.