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Agenda

  • Morning Session
    9:00 AM - 12:00 PMModule 3 (AM session: 10:00 AM to 12:00 NN)
    Vertical Analysis of the Balance Sheet
    > Asset Distribution
    > Capital Structure - Leverage Discussion

    Analysis of the Cash Conversion Cycle

    Introduction to the Cash Flow Statement
    Break
    12:00 PM - 2:00 PMSession Break
    Attendees to dial-in after the break
    Afternoon Session
    1:30 PM - 4:30 PMModule 3 (PM session: 02:00 PM to 04:00 PM)
    - Analysis of the Cash Flow Statement
    - Discussion of Leverage & Coverage Measures
    - Recap of Financial Ratios
    - Summary of the Financial Analysis Process

Event Details

"Financial Reports are as revealing of the HEALTH OF A BUSINESS as the pulse rate and blood pressure are indicators of the HEALTH OF A PERSON."


A fundamental financial objective of all organizations is to be healthy and stable. The financial reports are the means of the company to summarize and communicate financial performance.


If all the organs and parts of the body contribute to the well-being of the person, it also follows that the different sections/departments of the company contribute to its financial condition.


Module Objectives:


At the end of the module the learner would be able to:


(1) Evaluate the asset mix and the capital structure of the company


(2) Assess the financial condition of the company by using Balance Sheet indicators

a. Liquidity

b. Cash Conversion Cycle

c. Minimum Cash Requirement

d. Leverage

e. Coverage Measures


(3) Prepare a cash flow statement and interpret its information


Program Flow


Pre-session:

Prerequisite: Attended Module 2 or have a solid background in the profitability analysis

List of Ratios and Formulas

Financial Analysis Process


Module 3 (AM session: 09:00 AM to 12:00 NN)


Vertical Analysis of the Balance Sheet

> Asset Distribution

> Capital Structure - Leverage Discussion


Analysis of the Cash Conversion Cycle


Introduction to the Cash Flow Statement


Session Break (12:00 NN to 01:29PM)


Module 3 (PM session: 01:30 PM to 04:30 PM)

  • Analysis of the Cash Flow Statement
  • Discussion of Leverage & Coverage Measures
  • Recap of Financial Ratios
  • Summary of the Financial Analysis Process


Post-session: Spreadsheet


Method: Lectures, case discussions, and worksheet exercises


Duration: 6 hours | 09:00 AM to 12:00 NN & 1:30 PM to 4:30 PM (GMT +8)


Intended Audience: Officers and staff involved in Collections.


Slots are limited and on a first come, first served basis. For registration inquiries, email kamyr.catapang@eccp.com


How to access the webinar: In a separate email, you will receive the link sent via ZOOM/ECCP.

Jul 5, 2022

9:00 AM - 4:30 PMGMT+8

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via ZOOM

Tickets

ECCP Members
₱5,000
Non-Members
₱6,000
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