Financial Analysis and Interpretation with Excel
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Financial Analysis and Interpretation with Excel

5 Days Online - Virtual Training

NB: HOW TO REGISTER TO ATTEND

Please choose your preferred schedule.Fill out the form with your personal and organizational details and submit it. We will promptly process your invitation letter and invoice to facilitate your attendance at our workshops. We eagerly anticipate your registration and participation in our Skill Impact Trainings. Thank you.

# Start Date End Date Duration Location Registration
11 18/11/2024 22/11/2024 5 Days Live Online Training
12 25/11/2024 29/11/2024 5 Days Live Online Training
13 02/12/2024 06/12/2024 5 Days Live Online Training
14 09/12/2024 13/12/2024 5 Days Live Online Training
15 16/12/2024 20/12/2024 5 Days Live Online Training
16 23/12/2024 27/12/2024 5 Days Live Online Training
17 30/12/2024 03/01/2025 5 Days Live Online Training
18 13/01/2025 17/01/2025 5 Days Live Online Training
19 27/01/2025 31/01/2025 5 Days Live Online Training
20 10/02/2025 14/02/2025 5 Days Live Online Training
21 24/02/2025 28/02/2025 5 Days Live Online Training
22 10/03/2025 14/03/2025 5 Days Live Online Training
23 24/03/2025 28/03/2025 5 Days Live Online Training
24 07/04/2025 11/04/2025 5 Days Live Online Training
25 21/04/2025 25/04/2025 5 Days Live Online Training
26 05/05/2025 09/05/2025 5 Days Live Online Training
27 19/05/2025 23/05/2025 5 Days Live Online Training
28 02/06/2025 06/06/2025 5 Days Live Online Training
29 09/06/2025 13/06/2025 5 Days Live Online Training
30 16/06/2025 20/06/2025 5 Days Live Online Training

Introduction to Financial Analysis and Interpretation with Excel

The Financial Analysis and Interpretation with Excel course is designed to empower finance professionals with the essential skills needed to perform detailed financial analyses using Microsoft Excel. Excel remains the tool of choice for financial analysis due to its versatility, robust functionalities, and widespread use in the industry. This course will guide participants through the intricacies of using Excel to analyze financial statements, perform ratio analysis, forecast cash flows, and build comprehensive financial models. By leveraging Excel's powerful features, attendees will enhance their ability to interpret financial data, make informed decisions, and communicate insights effectively.

Participants will start with an overview of financial analysis concepts and gradually delve into more complex topics such as cash flow forecasting, budgeting, and investment appraisal. Each module is carefully crafted to build on the previous one, ensuring a solid foundation before moving on to advanced techniques. The course emphasizes practical, hands-on learning through the use of real-world case studies and practical exercises. This approach ensures that participants not only understand theoretical concepts but also gain the confidence to apply these techniques in their professional roles.

Whether you are a financial analyst, accountant, finance manager, or a business professional looking to enhance your analytical skills, this course is tailored to meet your needs. By the end of the program, participants will have a thorough understanding of financial analysis principles and the proficiency to use Excel for sophisticated financial modeling and analysis. This will not only improve individual performance but also contribute significantly to the financial health and strategic planning capabilities of their organizations.

Course Objective

  1. Develop proficiency in using Excel for financial analysis.
  2. Understand key financial statements and their components.
  3. Learn to perform ratio analysis for assessing financial health.
  4. Master techniques for cash flow analysis and forecasting.
  5. Gain skills in budgeting and financial planning using Excel.
  6. Understand the principles of investment appraisal and capital budgeting.
  7. Learn to create dynamic financial models and dashboards.
  8. Develop the ability to interpret financial data for decision-making.
  9. Enhance skills in data visualization and presentation.
  10. Apply financial analysis techniques through practical case studies.

Organization Benefit

  1. Improved accuracy and efficiency in financial analysis and reporting.
  2. Enhanced decision-making capabilities through better data interpretation.
  3. Streamlined financial planning and budgeting processes.
  4. Increased ability to forecast cash flows and manage liquidity.
  5. Improved investment appraisal and capital allocation decisions.
  6. Enhanced financial modeling and scenario analysis capabilities.
  7. Better visualization and communication of financial data.
  8. Strengthened internal controls and financial management practices.
  9. Increased proficiency in Excel among finance team members.
  10. Improved overall financial performance and strategic planning.

Target Participants

  • Financial Analysts
  • Accountants
  • Finance Managers
  • Budget Analysts
  • Investment Analysts
  • Business Analysts
  • CFOs and Financial Controllers
  • Consultants
  • MBA Students specializing in Finance
  • Anyone interested in improving their financial analysis skills

Course Outline

Module 1: Introduction to Financial Analysis with Excel

  1. Overview of financial analysis and its importance
  2. Introduction to Excel for financial analysis
  3. Key Excel functions and formulas for finance
  4. Understanding financial statements (Balance Sheet, Income Statement, Cash Flow Statement)
  5. Data import and cleaning techniques
  6. Case study: Basic financial statement analysis
  7. Practical exercises on using Excel functions
  8. Creating and managing Excel templates
  9. Introduction to pivot tables for financial data
  10. Basic data visualization techniques

Module 2: Ratio Analysis and Financial Health Assessment

  1. Understanding and calculating liquidity ratios
  2. Profitability ratios and their interpretation
  3. Efficiency ratios and their significance
  4. Solvency ratios for long-term financial health
  5. Market valuation ratios
  6. Case study: Ratio analysis of a real-world company
  7. Practical exercises on ratio calculations in Excel
  8. Creating ratio analysis dashboards
  9. Comparative analysis using industry benchmarks
  10. Interpretation and reporting of ratio analysis results

Module 3: Cash Flow Analysis and Forecasting

  1. Components of cash flow statements
  2. Direct and indirect methods of cash flow analysis
  3. Techniques for cash flow forecasting
  4. Building cash flow models in Excel
  5. Scenario analysis for cash flow projections
  6. Case study: Cash flow analysis of a real-world company
  7. Practical exercises on cash flow forecasting
  8. Sensitivity analysis for cash flows
  9. Managing liquidity and working capital
  10. Presentation of cash flow analysis results

Module 4: Budgeting and Financial Planning

  1. Principles of budgeting and financial planning
  2. Creating operating budgets in Excel
  3. Capital expenditure budgeting
  4. Variance analysis and performance measurement
  5. Rolling forecasts and budget updates
  6. Case study: Budget preparation for a company
  7. Practical exercises on budget creation and analysis
  8. Integrating budgets with financial statements
  9. Using Excel for zero-based budgeting
  10. Reporting and presenting budget information

Module 5: Investment Appraisal and Capital Budgeting

  1. Time value of money concepts
  2. Net Present Value (NPV) and Internal Rate of Return (IRR) calculations
  3. Payback period and discounted payback period
  4. Profitability index and its use
  5. Scenario and sensitivity analysis in investment appraisal
  6. Case study: Capital budgeting decision for a project
  7. Practical exercises on NPV and IRR calculations in Excel
  8. Creating investment appraisal models
  9. Risk assessment in capital budgeting
  10. Reporting and presenting investment appraisal results

Module 6: Advanced Financial Modeling and Data Visualization

  1. Principles of financial modeling
  2. Building dynamic financial models in Excel
  3. Using Excel's advanced functions and macros
  4. Creating interactive dashboards and reports
  5. Data visualization best practices
  6. Case study: Comprehensive financial model for a business
  7. Practical exercises on advanced modeling techniques
  8. Integrating external data sources into Excel models
  9. Scenario and sensitivity analysis in financial models
  10. Presentation and communication of financial analysis findings

General Notes

  • All our courses can be Tailor-made to participants' needs
  • The participant must be conversant in English
  • Presentations are well-guided, practical exercises, web-based tutorials, and group work. Our facilitators are experts with more than 10 years of experience.
  • Upon completion of training the participant will be issued with a Foscore development center certificate (FDC-K)
  • Training will be done at the Foscore development center (FDC-K) centers. We also offer inhouse and online training on the client schedule
  • Course duration is flexible and the contents can be modified to fit any number of days.
  • The course fee for onsite training includes facilitation training materials, 2 coffee breaks, a buffet lunch, and a Certificate of successful completion of Training. Participants will be responsible for their own travel expenses and arrangements, airport transfers, visa application dinners, health/accident insurance, and other personal expenses.
  • Accommodation, pickup, freight booking, and Visa processing arrangement, are done on request, at discounted prices.
  • Tablet and Laptops are provided to participants on request as an add-on cost to the training fee.
  • One-year free Consultation and Coaching provided after the course.
  • Register as a group of more than two and enjoy a discount of (10% to 50%)
  • Payment should be done before commence of the training or as agreed by the parties, to the FOSCORE DEVELOPMENT CENTER account, so as to enable us to prepare better for you.
  • For any inquiries reach us at training@fdc-k.org or +254712260031
  • Website:www.fdc-k.org

 

 

 

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