Completed from United States
The Certificat Professionnel En États De Flux De Trésorerie Selon Les Normes Internationales D'information Financière (Fondation) exceeded my expectations. The curriculum directly aligned with my goal of mastering IFRS cash‑flow reporting, and the case studies on multinational corporations gave me hands‑on experience preparing statements that meet global standards. I especially valued the module on cash‑flow classification, which allowed me to reconcile operating, investing, and financing activities with precision. The course materials—well‑structured PDFs, interactive webinars, and downloadable Excel templates—were up‑to‑date and immediately applicable. Since completing the program, I have successfully led the quarterly cash‑flow reporting for my firm, reducing preparation time by 30 % and receiving commendation from our auditors.
I took this certificate because I wanted to boost my finance skills for my startup, and the course delivered exactly that. The lessons were broken down into bite‑size videos, and the real‑world examples—like building a cash‑flow forecast for a SaaS company—made the concepts click. I walked away with practical Excel tools that let me model cash inflows and outflows in minutes, something I could start using right away. The instructor was friendly and answered questions in the forum promptly. Overall, it was a solid learning experience that helped me secure a $150k seed round, thanks to clearer financial projections.
This professional certificate offered a remarkably detailed exploration of cash‑flow statements under IFRS. Each module—starting with the fundamentals of cash‑flow classification, moving through IFRS 7 disclosures, and culminating in a comprehensive final project—was meticulously prepared. I appreciated the depth of the analytical exercises, such as reconciling cash‑flow differences between the direct and indirect methods for a German manufacturing firm, which sharpened my analytical rigor. The supplementary reading material, including the latest IFRS updates, ensured the content stayed relevant. After completing the course, I was able to lead a cross‑border cash‑flow audit for my company, delivering a report that satisfied both local regulators and our European headquarters.
Wow! This certificate was exactly what I needed to boost my confidence in financial reporting. The energetic teaching style kept me engaged, and the practical workshops—especially the one where we built a full cash‑flow statement for a renewable‑energy project—gave me real‑world skills I could showcase in my next board meeting. The course materials were top‑notch: crisp slide decks, up‑to‑date IFRS references, and handy Excel templates that I still use daily. Thanks to this training, I successfully presented a cash‑flow analysis to my senior management, which helped secure additional funding for our upcoming project.