Completed from United States
The Certificado Profissional Em Demonstrações De Fluxos De Caixa course exceeded my expectations. The structured modules aligned perfectly with my goal of mastering cash‑flow statements under IFRS. I was able to apply the advanced indirect method templates directly to my company's monthly reporting, which reduced the preparation time by 30%. The video lectures were clear and the downloadable case studies mirrored real‑world scenarios, allowing me to practice consolidation of operating, investing, and financing activities. Overall, the material quality was top‑notch and highly relevant, and I feel fully equipped to present accurate cash‑flow analyses to senior management.
Fiz o curso porque precisava entender melhor os fluxos de caixa segundo as normas internacionais. O conteúdo foi bem prático – o Excel template que eles fornecem já vem pronto para inserir os dados da minha empresa. Depois de seguir os exercícios, consegui montar um forecast de caixa para o próximo trimestre e até apresentei ao meu chefe, que ficou impressionado. Os vídeos são curtos e diretos, e os PDFs resumem tudo sem enrolação. Recomendo para quem quer colocar a teoria em prática sem complicação.
Ich bin begeistert von diesem Kurs! Die detaillierten Erklärungen zum indirekten Verfahren und zur Klassifizierung von Cash‑Flows nach IFRS haben mir geholfen, meine Abschlussberichte zu optimieren. Besonders die interaktiven Fallstudien, bei denen wir Unternehmensdaten aus der Praxis analysieren, waren ein echter Mehrwert. Die bereitgestellten Materialien – von den Slides bis zu den Excel‑Modellen – sind von hoher Qualität und sofort anwendbar. Durch das Gelernte konnte ich bei meinem letzten Projekt die Cash‑Flow‑Prognose um 15 % genauer darstellen und das Team hat das Ergebnis sehr gelobt.
This advanced certification offered a deep dive into IFRS cash‑flow standards that I hadn't found elsewhere. The curriculum covered everything from the fundamentals of cash‑flow classification to complex reconciliation techniques, and each module included real‑world examples from multinational corporations. I especially appreciated the comprehensive workbook, which featured step‑by‑step walkthroughs of preparing a statement of cash flows using both the direct and indirect methods. Applying these skills, I successfully revised my firm's quarterly cash‑flow report, leading to clearer investor communication and a stronger compliance audit outcome. The course materials were meticulously curated, up‑to‑date, and the instructor’s feedback was prompt and insightful, making the learning experience truly rewarding.