This training provides detailed coverage of cash flow statements, operating cash flows, investing and financing activities, cash forecasting, liquidity assessment, working capital analysis, and financial performance evaluation.
Overview
Cash Flow Analysis Training by AcadNXT is designed to help professionals understand how cash flow analysis supports financial planning, operational efficiency, liquidity management, and strategic business decision-making. This training provides detailed coverage of cash flow statements, operating cash flows, investing and financing activities, cash forecasting, liquidity assessment, working capital analysis, and financial performance evaluation. Participants will learn how organizations analyze cash movements to assess financial stability, manage operational resources, and support sustainable business growth. The course combines financial analysis techniques with practical business scenarios to strengthen cash management and reporting capabilities.
Learning Outcomes
• Understand cash flow analysis concepts and methodologies
• Interpret operating, investing, and financing cash flows effectively
• Analyze liquidity and working capital performance
• Apply cash flow forecasting and budgeting techniques
• Evaluate financial sustainability and operational efficiency
• Identify cash flow-related financial risks
• Support strategic financial planning initiatives
• Improve business cash management and reporting capabilities
Duration & Delivery Mode
14 hours
Target Audience
• Financial Analysts
• Finance Executives
• Treasury Professionals
• Accounting Professionals
• Business Analysts
• Budget Planning Teams
• Operations Managers
• MBA Students and Finance Graduates
Pre-requisites
• Basic understanding of accounting and finance concepts
• Familiarity with financial statements and business reporting
• Basic spreadsheet and numerical analysis skills
• Interest in financial planning and cash management
Skillset Achieved
• Cash flow statement interpretation skills
• Operating cash flow analysis capabilities
• Liquidity and working capital assessment techniques
• Cash forecasting and budgeting knowledge
• Financial performance evaluation skills
• Business cash management understanding
• Financial planning and analysis capabilities
• Risk identification in cash management processes
Course Outcome
Upon completion of this training, participants will be able to analyze and interpret cash flow statements to support financial planning and operational decision-making processes. They will be capable of evaluating operating cash flows, assessing liquidity positions, preparing cash flow forecasts, identifying financial risks, and contributing to effective cash management and business performance improvement initiatives within organizations.
Course Outline
Introduction to Cash Flow Analysis
• Importance of cash flow management
• Objectives of cash flow analysis
• Cash flow versus profitability concepts
• Role of cash flow in business decision-making
Understanding Cash Flow Statements
• Structure of cash flow statements
• Operating activities analysis
• Investing activities evaluation
• Financing activities interpretation
Operating Cash Flow Analysis
• Cash receipts and payments analysis
• Working capital impact on cash flows
• Cash flow from operations evaluation
• Operational efficiency assessment
Liquidity and Working Capital Analysis
• Liquidity management principles
• Current assets and liabilities evaluation
• Cash conversion cycle concepts
• Short-term financial stability analysis
Cash Flow Ratios and Performance Indicators
• Operating cash flow ratios
• Cash coverage analysis
• Liquidity performance indicators
• Financial sustainability assessment techniques
Hands-on exercises
Cash Flow Forecasting and Budgeting
• Cash forecasting methodologies
• Budget preparation techniques
• Revenue and expense projections
• Variance analysis concepts
Investing and Financing Cash Flows
• Capital expenditure analysis
• Investment-related cash flow evaluation
• Financing decisions and cash impact
• Debt and equity cash considerations
Risk Management in Cash Flow Analysis
• Liquidity risk identification
• Operational cash flow risks
• Financial planning risk assessment
• Cash flow optimization strategies
Financial Decision-Making Using Cash Flow Analysis
• Investment decision support
• Resource allocation considerations
• Strategic financial planning applications
• Business performance evaluation techniques
Case Studies and Practical Cash Flow Analysis
• Real-world cash flow analysis scenarios
• Financial statement interpretation exercises
• Forecasting and budgeting activities
• Business liquidity assessment exercises
Hands-on exercises
Assessment Topics
• Cash flow statement analysis
• Operating cash flow evaluation
• Liquidity and working capital analysis
• Cash forecasting techniques
• Budgeting and variance analysis
• Financial performance indicators
• Risk management in cash flow analysis
• Business financial planning concepts
Evaluation
• Cash flow statement analysis exercises
• Liquidity assessment assignments
• Forecasting and budgeting activities
• Financial performance evaluation tasks
• Business cash management case studies
• Practical financial analysis exercises
Course Materials
Participants will receive course materials, slides, reference materials, exercises and access to resources for further learning.
Certification
Participants who successfully complete the training will receive an AcadNXT Certification in Cash Flow Analysis Training, validating their expertise in cash flow statement interpretation, liquidity assessment, cash forecasting, financial planning, working capital analysis, and operational cash management practices.
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What Our Students Say
“The training provided excellent practical understanding of cash flow analysis and liquidity management techniques.”
“I gained valuable knowledge in cash forecasting, budgeting, and working capital evaluation through practical exercises.”
“This course helped me strengthen my understanding of operating cash flows and business financial performance assessment.”
“The sessions were highly informative and useful for understanding financial planning and operational cash management processes.”
“Excellent training for mastering cash flow analysis, liquidity assessment, and financial decision-making frameworks.”