Completed from United Kingdom
I signed up for this intermediate cash‑flow certification because I wanted to brush up on IFRS standards for my role at a mid‑size consultancy. The course was surprisingly practical – the tutor walked us through a live Excel model showing how operating, investing and financing activities are classified. I now know exactly how to adjust net income for non‑cash items and how to present cash‑flow statements in a way that satisfies auditors. The PDFs were easy to follow and the quizzes kept things interesting. I left the course feeling confident and ready to add cash‑flow analysis to my client reports.
The Certificat Professionnel En États De Flux De Trésorerie Selon Les Normes Internationales D'information Financière (Intermédiaire) exceeded my expectations. The curriculum was perfectly aligned with my goal of mastering cash‑flow reporting under IFRS. I especially appreciated the module on IFRS 7, which gave me a step‑by‑step framework for preparing statements of cash flows. The case studies using real‑world data allowed me to practice consolidating cash‑flow statements across multiple subsidiaries, a skill I immediately applied at my firm. Course materials—clear PDFs, interactive Excel workbooks, and video lectures—were of high quality and kept me engaged. Overall, the learning experience was seamless, and I feel fully equipped to handle complex cash‑flow analyses.
Wow! This certification was exactly what I needed to level up my finance career. The instructors broke down the IFRS cash‑flow standards into bite‑size videos, and I loved the hands‑on assignments where we built a full cash‑flow statement for a manufacturing company. I learned how to reconcile cash‑flow from operating activities using the indirect method, and the tip about adjusting for changes in working capital was a game‑changer for my current project. The study material was top‑notch – crisp slides, downloadable templates, and real‑world examples that made the theory click. I’m thrilled with the knowledge I’ve gained and can now confidently advise my boss on cash‑flow forecasting.
The intermediate cash‑flow certification offered by Stanmore School of Business provided a thorough and detailed exploration of IFRS cash‑flow reporting. My learning objective was to develop the ability to prepare cash‑flow statements for multinational subsidiaries, and the course delivered precisely that. The detailed lessons on the classification of cash flows, coupled with the downloadable Excel workbook, enabled me to practice the indirect method on a simulated South African mining operation. The instructor’s explanations of the nuances in IFRS 7 were particularly valuable. While the pace was intense, the quality of the materials—well‑structured PDFs and real‑case examples—made it manageable. Overall, I am satisfied with the depth of knowledge acquired and feel prepared to implement these standards in my organization.