財(cái)務(wù)英語(yǔ)其它上課時(shí)間:
培訓(xùn)對(duì)象:
財(cái)務(wù)類相關(guān)人員等
培訓(xùn)內(nèi)容:
訓(xùn)后學(xué)員可達(dá)到外企財(cái)務(wù)崗位的能勝任標(biāo)準(zhǔn),可閱讀英文報(bào)表,能自信地用英文做各類財(cái)務(wù)報(bào)表.CONTENTS【課程內(nèi)容】
Day 1: Income Statement損益表
1.Basic knowledge for foreign company
2.Overview of income statement
3.Sales definition and analysis
4.Direct Variable Cost (DVC)
5.Base cost elements and analysis
6.Foreign exchange treatment
7.Management allocation;
8.Cost of capital;9.Margin by product and variance analysis;10.Standard cost
Day 2: Balance Sheet資產(chǎn)負(fù)債表
1.Overview of Balance Sheet
2.Receivables & DSO;3.Payables & DPO
4.Inter-company Reconciliation
5.Inventory, Stocktake & Provision
6.Tangible Assets;7.Intangible Assets
Day 3: Cash Management and Control
現(xiàn)金流管理
1.Business cycle and cash conversion
2.Cash and Profit;3.Prepare cash flow statement
4.Analyze cash flow statement
5.Cash flow budget and forecast
6.Cash flow analysis in investment
7.Internal control on cash
Day 4: How to Compile Financial Analysis財(cái)務(wù)分析與報(bào)告撰寫(xiě)
1.Review of analysis in previous sections
2.Financial analysis writing
3.Sample study
4.Financial ratios
5.Understand the role of Finance