Completed from United Kingdom
This course delivered a detailed and rigorous exploration of cash‑flow statements under the International Financial Reporting Standards. It directly addressed my goal of mastering the preparation of consolidated cash‑flow statements for a group of subsidiaries. I particularly appreciated the in‑depth analysis of indirect vs. direct method reporting, and the hands‑on assignment where we reconciled cash‑flow discrepancies using real‑world data sets. The lecture notes were impeccably referenced, and the supplementary reading list included the latest IFRS updates. My final project received commendation from my manager, confirming the high relevance and quality of the training.
The ‘États Des Flux De Trésorerie Selon Les Normes Internationales D'information Financière’ course precisely matched my learning objectives. By the end of the program I could confidently draft cash‑flow statements that comply with IFRS 15 and IFRS 17, which I immediately applied to the quarterly reporting at my firm. The case studies on multinational cash‑flow forecasting were especially valuable, giving me a practical framework to evaluate liquidity risks. All course materials were up‑to‑date, with clear PDFs and interactive Excel templates that streamlined my workflow. Overall, the instruction was professional and thorough, and I feel fully equipped to support my company's financial strategy.
I loved the casual vibe of this course – it felt like a friendly workshop rather than a stiff lecture. The modules broke down the IFRS cash‑flow standards into bite‑size videos, which helped me finally understand how to classify operating, investing, and financing activities correctly. I used the downloadable worksheet to rebuild my nonprofit’s cash‑flow statement, and it was a game‑changer for our budgeting meetings. The resources were spot‑on and easy to follow, and the instructor answered our forum questions quickly. All in all, a solid, practical experience that boosted my confidence.
I’m absolutely thrilled with how this course transformed my understanding of cash‑flow reporting! The enthusiastic instructor broke down complex IFRS concepts into engaging stories—like the one about a startup navigating cash‑flow challenges during rapid growth. I walked away with practical skills, such as building dynamic cash‑flow forecasts in Excel and interpreting the impact of foreign exchange on cash‑flow statements. The course pack, filled with real‑life examples and template files, was spot‑on for my daily work at a financial consultancy. It exceeded my expectations and left me eager to apply what I learned across all my client projects.