Completed from United Kingdom
I loved this course! It was exactly what I needed to finally get a grip on IFRS cash‑flow statements. The practical examples—like building a cash‑flow model for a start‑up—were spot‑on and I could see the impact straight away. The PDFs were crisp, the quizzes kept me on track, and the forum discussions with other students added a nice casual vibe. After finishing, I confidently presented a cash‑flow analysis to my board, and they were impressed by the depth of insight I provided.
The Certificat Professionnel En États De Flux De Trésorerie Selon Les Normes Internationales D'information Financière (Ifrs) (Advanced) exceeded my expectations. The course material directly aligned with my goal of mastering cash‑flow statements under IFRS, and the step‑by‑step case studies allowed me to apply the concepts to real‑world scenarios. I especially appreciated the downloadable IFRS templates, which I now use daily in my finance reporting role. The instructor’s explanations were clear and the supplemental video lectures were up‑to‑date with the latest standards. Overall, the experience was highly professional and has already helped me prepare a revised cash‑flow forecast for my company’s upcoming audit.
The advanced IFRS cash‑flow certification was a game‑changer for my career. My main goal was to understand how to reconcile operating, investing, and financing activities under the latest IFRS 15, and the course delivered exactly that. The interactive worksheets let me practice the reconciliation process, and I now feel comfortable preparing cash‑flow statements for multinational projects. The video lessons were engaging, though I wish there were a few more live Q&A sessions. Still, the knowledge I gained helped me secure a promotion to senior financial analyst.
From a detailed standpoint, this course covered every nuance of IFRS cash‑flow reporting. The curriculum was meticulously structured: it started with the conceptual framework, moved through measurement techniques, and culminated in a comprehensive capstone project where I prepared a full cash‑flow statement for a fictitious mining corporation. The supplementary reading list featured the latest IFRS standards and industry‑specific guidance, which proved invaluable for my work in the resources sector. The instructor’s feedback on my project was thorough, highlighting areas for improvement and praising the accurate application of the indirect method. I left the course feeling fully equipped to lead cash‑flow reporting for my firm.