Master corporate financial analysis through ratio metrics and learn to assess company creditworthiness in this comprehensive course.
Master corporate financial analysis through ratio metrics and learn to assess company creditworthiness in this comprehensive course.
This advanced course from NYIF's Credit Risk Analysis program teaches comprehensive financial ratio analysis for corporate assessment. Students learn to evaluate business models, revenue generation, asset-conversion cycles, and productivity metrics. The course covers analysis of borrower liquidity, working capital management, and short-term funding. Special emphasis is placed on leverage analysis, capital structure evaluation, and understanding off-balance-sheet risks. Students also learn to assess organizational structure risks and management strategy impacts.
4.6
(9 ratings)
Instructors:
English
Arabic, German, English, 9 more
What you'll learn
Master financial metrics and ratios for assessing business performance
Analyze borrower liquidity and working capital management
Evaluate company leverage and capital structure effectively
Assess off-balance-sheet risks and organizational structure impacts
Understand management strategy risks and business model analysis
Skills you'll gain
This course includes:
PreRecorded video
Graded assignments, exams
Access on Mobile, Tablet, Desktop
Limited Access access
Shareable certificate
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Module Description
This comprehensive course focuses on advanced financial ratio analysis and credit risk assessment. Students learn to evaluate various financial metrics and ratios used to assess business performance and profitability. The curriculum covers business model analysis, revenue generation assessment, asset quality evaluation, and working capital management. Special attention is given to analyzing leverage, capital structure, and off-balance-sheet risks. The course also addresses organizational structure risks and management strategy evaluation.
Fee Structure
Instructor
NYIF Instructor Specializing in Risk Management and Financial Analysis
Tracy Williams is an instructor at the New York Institute of Finance (NYIF), focusing on credit risk management, credit portfolio management, financial analysis, and corporate finance. With extensive experience in the securities industry, he previously served as a Managing Director in the Financial Institutions Group at JPMorgan Investment Bank, overseeing risk management and loan structuring for over 250 institutions. Tracy is a founding member of the Consortium Finance Network, where he has authored more than 125 articles on finance topics for its weekly blog. He has also contributed several articles on risk management and financial analysis to RiskReward.
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