Advanced Financial Statement Analysis - Liquidity, Activity, Leverage, Operating Performance, Cash Flow, Z-Score and Case Studies

Posted By : User Ref No: WURUR54894 0
  • Image
  • TypeWebinar
  • Image
  • Location 2035 Sunset Lake, RoadSuite B-2, Newark,Delaware,United States
  • Price
  • Date 11-03-2020
Advanced Financial Statement Analysis - Liquidity, Activity, Leverage, Operating Performance, Cash Flow, Z-Score and Case Studies, 2035 Sunset Lake, RoadSuite B-2, Newark,Delaware,United States
Webinar Title
Advanced Financial Statement Analysis - Liquidity, Activity, Leverage, Operating Performance, Cash Flow, Z-Score and Case Studies
Event Type
Webinar
Webinar Date
11-03-2020
Last Date for Applying
11-02-2020
Location
2035 Sunset Lake, RoadSuite B-2, Newark,Delaware,United States
Organize and Presented By
247compliance.us
Sponsored By
247compliance.us
Organizing/Related Departments
247compliance.us
Organization Type
Event Organizing Company
WebinarCategory
Non Technical
WebinarLevel
All (State/Province/Region, National & International)
Related Industries

Finance

Accounting/Financial/Banking/Insurance

OTHERS

Location
2035 Sunset Lake, RoadSuite B-2, Newark,Delaware,United States
  • OVERVIEW

This training program will explore the vital world of advanced financial statement analysis. This session will include a review of the four financial statements and a five-step analysis model including liquidity, activity, leverage, operating performance, and cash flow. It will also review the Z-score (bankruptcy predictor) and the sustainable growth models. The webinar is a must for all commercial lenders and credit administrators.

 

  • LEARNING OBJECTIVES
  • An introduction to a five-part financial statement analysis model which will include:
  • Liquidity: How to determine the true cash position of a company by eliminating certain current asset accounts from the working capital, current ratio, and quick ratio calculations
  • Activity: How to correctly interpret a company's accounts receivable, accounts payable, and inventory turnover? The turnover calculations will then be used to determine a company's cash conversion cycle
  • Leverage: How to calculate the debt versus equity position of a business and adjust the calculation through the use of a subordination agreement
  • Operating Performance: How to gauge a company's true profitability and the difference between accrual versus cash basis income statements
  • Cash Flow: calculate, interpret, and apply cash flow models including traditional EBITDA, fixed-charge coverage, free cash flow (FCF), cash basis cash flow, and uniform credit analysis cash flow (UCA)
  • A review of related topics of the Z-score (bankruptcy predictor) and the sustainable growth models
  • Case studies to illustrate the five-part analysis model and the correct interpretation of the financial statements

 

  • WHY SHOULD YOU ATTEND

This webinar will demonstrate a comprehensive approach to financial statement analysis. The session will begin with analyzing the four financial statements - income statement, statement of retained earnings, balance sheet, and statement of cash flows. This will include revenue and expense recognition, FIFO, LIFO and average inventory costing models, operating expenses (repairs) versus improvements, depreciation including straight-line, units-of-production, and double-declining balance, amortization, and depletion.

The webinar will also explore accounts receivable assessment, allowance for doubtful accounts, intangible assets, accounts payable assessment, capital, and operating leases, and analysis of the equity section of the balance sheet including partners' capital accounts, common and preferred stock, treasury stock, stock splits and retained earnings. Additionally, the types or levels of financial statements will be highlighted including company-prepared, compiled, reviewed, and audited. The audited financial statements will include unqualified, qualified, adverse, and disclaimer.

 

  • WHO WILL BENEFIT?
  • Commercial lenders
  • Credit analysts
  • Relationship managers
  • Business owners
  • Compliance managers and officers
  • Risk managers and officers
  • Controllers
  • Presidents/vice presidents
  • Managers/supervisors
  • Sales representatives
  • Marketing personnel
  • Retail businesses owners
  • Maintenance and security employees
  • Stock room personnel
  • Business vendors

 

  • SPEAKER

 

David L. Osburn is the founder of Osburn & Associates, LLC, a business training and contract CFO firm that provides webinars, and keynote speeches for CPAs, bankers, attorneys, credit managers, and business owners on topics such as banking/finance/credit, negotiation skills, marketing, and management issues. David's contract CFO clients include medical practitioners, financial institutions, law firms, CPA firms, architects, real estate developers, and contractors. 

 

For more detail please click on this below link:
http://bit.ly/32twI2M
Email: [email protected]
Tel: +1-(510)-868-1040

 

Others Details

For more detail please click on this below link: http://bit.ly/32twI2M Email: [email protected] Tel: +1-(510)-868-1040

Registration Fees
Available
Registration Fees Details
Live session for 1 participant Increase Participants $199 Live + Recorded Session Get unlimited access to the link for one participant, from the date of webinar completion. $269 Live + Transcript Get unlimited access to the link for one participant, from the date of webinar completion. $249 Live + Training CD Free shipment within 3 to 5 Days from the date of webinar completion. $450 On Demand Options
Registration Ways
Email
Phone
Website
Other
Address/Venue
  2035 Sunset Lake, RoadSuite B-2, Newark, Delaware - 19702 USA  Pin/Zip Code : 19702
Official Email ID
Contact
   +1-(510)-868-1040