FINANCIAL MANAGEMENT
| Themes |
Days |
INTER |
INTRA |
|
Build and analyze the cash flow statement: difficulties and internal and external operations
|
3 |
X |
X |
|
Prevention of unpaid debts and debt collection
|
3 |
X |
X |
|
Currency cash management
|
3 |
X |
X |
| The techniques of valuation and financial analysis of companies
|
3 |
X |
X |
|
The management of cash registers and the development of cashiers and treasurers |
3 |
X |
X |
| Means of international payments and international bank guarantees
|
3 |
X |
X |
|
New exchange risk management techniques: Term hedging and exchange option
|
3 |
X |
X |
| Practical cash and investment management and mastery of banking negotiation
|
3 |
X |
X |
| Money market products, treasury bills and bond techniques
|
3 |
X |
X |
| The financial manager's dashboard
|
3 |
X |
X |
| Islamic Banks: operation and financing
|
3 |
X |
X |
|
Economic and financial analysis of a project
|
3 |
X |
X |
| Financial analysis for non-financials
|
3 |
X |
X |
|
Build the business plan of a project or a company
|
3 |
X |
X |
|
Diagnosis and financial analysis of the company
|
3 |
X |
X |
|
Construction and analysis of the cash flow statement
|
3 |
X |
X |
| Medium letters of credit for international payments
|
3 |
X |
X |
|
Financial analyzes for non-financial executives
|
3 |
X |
X |
|
Development and updating of cashier skills and handling of funds
|
3 |
X |
X |
| Exploitation and interpretation of financial ratios
|
3 |
X |
X |
| Dynamic analysis using the cash flow statement and the cash flow statement
|
3 |
X |
X |