Completed from United Kingdom
Absolutely brilliant! This advanced certification gave me the confidence to tackle cash‑flow statements at a board‑level. The modules on international reporting standards were spot‑on, and I loved the interactive simulations where I could build a full cash‑flow model from scratch. The course materials were polished, with up‑to‑date IFRS examples that I could instantly reference in my work at a multinational firm. Since completing the course, I’ve been able to present clear cash‑flow forecasts that have impressed senior executives. Highly recommend for anyone wanting to boost their finance toolkit.
The Certificado Profissional Em Demonstrações De Fluxos De Caixa course exceeded my expectations. The curriculum was perfectly aligned with my goal of mastering cash‑flow reporting under IFRS standards. I especially appreciated the in‑depth modules on the indirect method, which allowed me to reconcile operating cash flows for my company's quarterly reports without any confusion. The case studies were directly applicable to real‑world scenarios, and the downloadable templates saved me hours of work. Overall, the material quality was top‑notch, and the instructor’s feedback was prompt and insightful. I feel fully equipped to prepare and analyse cash‑flow statements for senior management now.
Fiquei muito satisfeito com o curso! Eu precisava entender melhor como montar demonstrações de fluxo de caixa para a minha pequena empresa, e o conteúdo foi bem prático. As aulas mostraram passo a passo como usar planilhas do Excel para elaborar o fluxo de caixa direto e indireto, e ainda deu dicas de como apresentar esses números para investidores. O material didático era claro e os exemplos do Brasil ajudaram bastante. Saí do curso já aplicando os conhecimentos no meu negócio, o que melhorou a nossa previsibilidade financeira.
The course delivered a thorough and detailed exploration of cash‑flow statements under the International Financial Reporting Standards. I set out to understand the nuances between the direct and indirect methods, and the curriculum covered both with extensive examples, including reconciliation of net profit to cash provided by operating activities. The video lectures were complemented by comprehensive PDFs and practice exercises that allowed me to test each concept repeatedly. One of the most valuable take‑aways was the module on cash‑flow forecasting for multinational subsidiaries, which I have already applied in my role at a consulting firm. The overall learning experience was rigorous yet accessible, and the support team responded quickly to my queries.