Completed from United States
The Certificado Profissional Em Demonstrações De Fluxo De Caixa course exceeded my expectations. The curriculum was aligned perfectly with my goal of mastering IFRS cash‑flow reporting for my role as a financial analyst. I especially appreciated the step‑by‑step modules on preparing the cash‑flow statement using the indirect method, which I could immediately apply to a quarterly report at my firm. The downloadable templates and real‑world case studies were of high quality and relevance, making complex concepts easy to digest. Overall, the learning experience was smooth, the instructors were knowledgeable, and I feel confident delivering IFRS‑compliant cash‑flow analyses.
Adorei o curso! Eu precisava entender melhor como montar demonstrações de fluxo de caixa segundo as normas internacionais e o conteúdo foi bem direto ao ponto. As aulas práticas, como a simulação de reconciliação de caixa, me ajudaram a aplicar o que aprendi no meu trabalho na contabilidade de uma PME. Os materiais de apoio são claros e os exemplos do dia a dia facilitam a compreensão. Saí do curso satisfeito e já consigo explicar o fluxo de caixa aos meus colegas de forma mais confiante.
Wow, what an enthusiastic and engaging course! I signed up to improve my IFRS cash‑flow reporting skills, and the program delivered exactly that—and more. The interactive workshops where we built a full cash‑flow statement from scratch were fantastic, and the feedback from the instructor was spot‑on. I now use the advanced forecasting techniques taught in the module to project cash needs for my department, which has already saved us time in budgeting. The course materials, especially the video tutorials and the downloadable Excel workbook, are top‑notch. I’m thrilled with the results and would highly recommend it to anyone wanting to boost their finance credentials.
The course provided a detailed and comprehensive exploration of cash‑flow statements under IFRS, precisely matching my learning objectives as a senior accountant. Each module delved deep into topics such as the classification of cash flows, adjustments for non‑cash items, and the preparation of the statement using both direct and indirect methods. I found the case‑based assignments particularly valuable; for instance, I reconstructed the cash‑flow statement for a multinational client, which helped me identify hidden liquidity issues. The quality of the reading material, including the up‑to‑date IFRS standards excerpts, was excellent, and the instructor’s explanations were clear and thorough. Overall, the experience was highly satisfying and has equipped me with practical skills that I can apply immediately in my daily work.