Completed from United Kingdom
I took the cash‑flow certification because I wanted to boost my CV, and it delivered. The lessons were broken down into bite‑size videos that made complex IFRS concepts feel manageable. I learned how to adjust net profit for non‑cash items and how to classify cash flows correctly—skills I’ve already used to tidy up my company's monthly reports. The downloadable worksheets were spot‑on, and the forum discussions gave useful tips from fellow learners. While I’d love a few more live Q&A sessions, the overall experience was solid and gave me the confidence to handle IFRS cash‑flow statements on my own.
The Certificat Professionnel En États De Flux De Trésorerie Selon Les Normes Internationales D'information Financière (IFRS) exceeded my expectations. The structured modules aligned perfectly with my goal of mastering cash‑flow reporting under IFRS. I especially appreciated the real‑world case studies where we reconstructed the cash‑flow statements of a multinational corporation using the indirect method. The course materials—clear PDFs, interactive quizzes, and downloadable Excel templates—were top‑notch and easy to follow. After completing the program, I was able to lead a cash‑flow analysis project at my firm and present a compliant IFRS report to senior management. Overall, the experience was professional, thorough, and highly valuable.
Wow! This course was exactly what I needed to jumpstart my finance career. The enthusiastic instructor explained IFRS 7 and IFRS 15 with real‑life examples from Indian and global companies, which helped me see how cash‑flow statements impact strategic decisions. I especially loved the hands‑on project where we built a complete cash‑flow statement in Excel, including forecast scenarios for a startup. The resources were up‑to‑date and the quizzes reinforced my learning every step of the way. Thanks to this program, I passed my internal audit exam and now feel fully equipped to advise my team on cash‑flow optimisation. Highly recommended!
The certificate program offered a detailed and methodical approach to IFRS cash‑flow reporting. Each module began with a clear learning objective, followed by in‑depth explanations of the indirect and direct methods, and concluded with practical exercises that required me to reconcile cash flows for a simulated mining operation. The course material included comprehensive slide decks, a well‑organized reference guide, and Excel models that I could adapt for my own work. I especially valued the segment on how cash‑flow statements interact with the statement of financial position under IFRS 9, which clarified many of the questions I had from my previous job. Overall, the learning experience was rigorous and gave me the confidence to implement IFRS‑compliant cash‑flow statements in my organization.