Completed from United Kingdom
Honestly, this course was a game‑changer for me. I signed up to finally understand how the IFRS cash‑flow standards work, and the Stanmore School of Business delivered. The lessons were broken down into bite‑size chunks, which made it easy to fit around my job. I learned how to draft a cash‑flow statement from scratch – the step‑by‑step worksheets helped me practice on my own data, and I could see the impact of financing activities straight away. The reading material was up‑to‑date and the instructor answered every forum question quickly. I’m really pleased with what I’ve taken away and feel ready to tackle cash‑flow forecasting at my firm.
The course États Des Flux De Trésorerie Selon Les Normes Internationales D'information Financière offered by Stanmore School of Business perfectly aligned with my goal of mastering cash‑flow statements under IFRS. The modules on indirect and direct methods gave me the confidence to prepare a complete cash‑flow statement for my company's quarterly report. I especially appreciated the downloadable Excel templates that mirrored real‑world reporting formats; using them, I was able to reconcile operating cash flows in less than an hour. The instructional videos were clear and the case studies from multinational firms made the theory instantly applicable. Overall, the learning experience was seamless, and I feel fully equipped to advise senior management on cash‑flow analysis.
I’m thrilled with how this course exceeded my expectations! The title—États Des Flux De Trésorerie Selon Les Normes Internationales D'information Financière—sounds intimidating, but Stanmore School of Business made it exciting. The instructor’s enthusiastic delivery kept me engaged, and the hands‑on projects let me apply IFRS cash‑flow rules to a simulated manufacturing company. By the end, I could confidently adjust cash‑flow statements for foreign currency translation and even present the results to my CFO. The high‑quality slide decks and real‑world examples were exactly what I needed to bridge theory and practice. I’m extremely satisfied and will definitely recommend it to colleagues.
The course was very detailed and thorough, which suited my background in accounting. Each module of États Des Flux De Trésorerie Selon Les Normes Internationales D'information Financière included in‑depth explanations of the IFRS 7 and IAS 7 requirements, accompanied by extensive worksheets. I particularly valued the segment on cash‑flow classification for investing activities, where I learned to differentiate between capital expenditures and asset disposals—a skill I immediately applied when preparing my firm's annual report. The supporting PDFs were well‑structured, and the supplemental reading list pointed me to the latest IASB publications. Overall, the learning journey was rigorous, and I left with a solid toolkit for cash‑flow analysis.