Learn how to use free cash flow modeling
This course looks at how to use free cash flow concepts to analyse and evaluate corporate performance in order to make better capital budgeting and acquisition decisions.
You’ll get an introduction to free cash flow and its components and learn about cost of capital. You’ll also look at how free cash flow can be used in acquisitions, and explore some common implementation issues.
What topics will you cover?
Week 1 – Free Cash Flow
Free cash flow components and the objective of the firm
Week 2 – Capital and Modified Free Cash Flow
The cost of capital, capital budgeting using free cash flow, and modified free cash flow
Week 3 – Evaluating & Integrating Acquisitions
Using free cash flow to evaluate acquisition opportunities, and the integration of acquisitions and its issues
When would you like to start?
Start straight away and learn at your own pace. If the course hasn’t started yet you’ll see the future date listed below.
Available nowJoin – £252
Who is the course for?
This course is ideal for financial analysts and associates. It is also suitable for directors and managers who have transitioned, or hope to transition, to mergers and acquisitions from other areas, such as equities or fixed income.
To get the most from this course you will need a good knowledge of financial analysis and MS Excel.
Who developed the course?
New York Institute of Finance
The New York Institute of Finance (NYIF) is a global leader in training for financial services and related industries. NYIF trains 50,000 professionals online and in class, in over 120 countries.