Completed from United Kingdom
Absolutely thrilled with this course! I wanted to deepen my knowledge of IFRS cash‑flow reporting for my new role in a European investment firm, and the program delivered exactly that. The segment on reconciling cash‑flow statements with the balance sheet was a game‑changer—I could finally explain the numbers to my senior managers with confidence. The course materials are top‑notch: interactive quizzes, downloadable templates, and up‑to‑date IFRS references. The enthusiastic teaching style kept me motivated from start to finish, and I feel fully equipped to apply what I've learned in real projects.
The Certificado Profesional De Estado De Flujos De Efectivo Bajo Normas Internacionales De Información Financiera (Avanzado) exceeded my expectations. The curriculum was precisely aligned with my goal of mastering IFRS cash‑flow statements for senior reporting. I especially appreciated the in‑depth module on indirect cash‑flow construction, which gave me a ready‑to‑use Excel template that I have already implemented in my quarterly reports. The course materials are up‑to‑date, well‑structured, and include real‑world case studies from multinational firms. Overall, the learning experience was professional, rigorous, and directly applicable to my role as a financial analyst.
I took this advanced cash‑flow course because I wanted to feel more confident handling IFRS reporting at my boutique consulting firm. The lessons were laid out in a relaxed, easy‑to‑follow way, and the live workshops let me practice building cash‑flow statements from scratch. One practical skill I walked away with was how to adjust for non‑cash items like depreciation and stock‑based compensation—something I use every month now. The PDFs and video recordings were clear, and the instructor was quick to answer questions in the forum. All in all, a solid, enjoyable experience that helped me hit my learning goals.
The advanced certification provided a highly detailed and methodical exploration of cash‑flow statements under IFRS. My primary learning goal was to master the preparation of both direct and indirect cash‑flow statements for multinational subsidiaries, and the course delivered step‑by‑step guidance, complete with real‑world datasets from Asian markets. I particularly valued the module on foreign‑currency translation adjustments, which allowed me to correctly present cash‑flow impacts in consolidated financial statements. The course materials—comprehensive slide decks, Excel workbooks, and supplementary IFRS updates—were impeccably organized and directly relevant to my daily tasks as a senior accountant. The overall experience was rigorous yet supportive, and I am now able to train junior staff on these concepts with confidence.