Opleidingen
68.996
resultaten
Enterprise wide Risk management - Brussels
"As the world becomes increasing more complex, the speed of change creates greater amounts of uncertainty that can impact (both positively and negatively) organisations overnight, risk management skills is becoming an expected core competency of all individuals who seek to be in executive leadership positions."
Enterprise risk management (ERM or E.R.M.) in business includes the methods and processes used by organizations to manage risks and seize opportunities related to the achievement of their objectives. ERM provides a framework for risk management, which typically involves identifying particular events or circumstances relevant to the organization's objectives (risks and opportunities), assessing them in terms of likelihood and magnitude of impact, determining a response strategy, and monitoring progress. By identifying and proactively addressing risks and opportunities, business enterprises protect and create value for their stakeholders, including owners, employees, customers, regulators, and society overall.
This 2 day intensive and highly practical program will give you a thorough grounding in the methodologies behind enterprise wide risk management. We learn:
What we mean by risk management and why it is important for organisations.
Understanding enterprise risk as an opportunity or threat
Overview of risk and types of risk
The ERM framework of risk management and developing an appropriate structure
How to get started with ERM and how far do you want to go?
Learn the technique of risk identification techniques and scoring
Getting buy-in from the very top of the organisation
The techniques of risk assessment and risk monitoring tools
What do we mean with financial risk and the different types of risk
Managing operational and infrastructure risk
The risk of strategy and the market place
Managing your reputation and hazard risk
How to initiate the project, the financing and monitoring
€1.460
Evenement
Financieel Management voor Niet-Financiële Managers - Antwerpen
"Elke manager heeft een praktische kennis van financieel beheer nodig om beter zakelijke beslissingen te kunnen nemen. Krijg inzicht in de cruciale financiële begrippen en verhoog het rendement van uw afdeling en organisatie."
Deze 2-daagse opleiding is speciaal ontworpen voor niet-financiële managers die een brede kennis van financieel beheer wensen te ontwikkelen. Goed management hangt af van correcte financiële beslissingen. We leren u de taal aan om beter te communiceren met financiële experten en leren je kennis maken met hun vaktaal. Na deze opleiding heeft u de kennis als manager, budgetverantwoordelijke, of kaderlid om:
De balans, de resultatenrekening en het kasstroomoverzicht te lezen en te interpreteren.
Budgetten op te stellen en de verschillende budgetteringstechnieken te begrijpen en toe te passen.
Investeringsprojecten te evalueren en een voorstel te bouwen.
Ratio’s te interpreteren en de toegevoegde waarde van de onderneming te bepalen.
Een financieel plan op te stellen en te analyseren.
Kostprijzen en prijszettingstechnieken te interpreteren
Uw werkkapitaal goed te beheren
Dit uitgebreid, hands-on programma biedt niet-financiële managers de mogelijkheid om aan de hand van theorie en praktische oefeningen die vaardigheden te verwerven en de aangeleerde technieken met vertrouwen te hanteren.
€1.460
Evenement
Investeringsanalyse/ CAPEX - Gent
"De succesvolle implementatie van elk project ligt in de investeringsanalyse, de beoordeling van de business case, het projectplan en het beheer ervan."
Of u nu een manager bent die projecten evalueert/ beslist of u bent verantwoordelijk voor het ontwikkelen van projectplannen, deze opleiding leert u de cruciale rol van de investeringsanalyse om op lange termijn de winstgevendheid van de onderneming nader te bepalen. De opleiding brengt u de kennis en technieken voor het analyseren en het bepalen van de economische levensvatbaarheid van één of meerdere projecten en hoe deze passen binnen het kader en de financiële structuur van de onderneming.
De 2 dagen worden besteed aan de ontwikkeling van de vaardigheden om projecten te analyseren, evalueren en de levensvatbaarheid te berekenen, we bespreken:
Het belang van en hoe bouw ik een investerings-analysemodel op in de praktijk?
Leer de technieken zoals de Net Present Value (NPV), de interne rate of return (IRR) en Payback-methoden voor management beslissingen.
Ontwikkel de kennis over de “Discounted Cash Flow” methodiek
Gebruikt men enkel één van deze technieken of bieden ze elk een ander perspectief?
Bereken de kost van het kapitaal en hoe men beslist over het risico van het project.
Hoe selecteert men uit verschillende business cases?
Beslissingscriteria: De financiële, strategische en operationele aspecten
Gebruik gevoeligheids- en scenarioanalyse om alternatieven te bouwen en te beslissen.
Ontdek de complexiteit van internationale investeringsanalyses.
Analyseer en evalueer de methodes voor schuld- en/ of aandelenfinanciering en de impact op de kapitaalstructuur.
Leer hoe belangrijk het is om een investering in investeringsuitgaven na voltooiing te beoordelen.
€1.460
Evenement
Corporate Financial Strategies - Brussels
"Every decision made in a business has financial implications, and any decision that involves the use of money is a corporate financial decision."
This 3 day course is the "Finance for Non-Financial Managers" for executives, senior managers or corporate finance specialists who want to have a view from the top or a refresher course on the important role Finance plays in the organisation and how the processes work!
Corporate finance consists of the financial activities related to running a corporation, usually with a division or department set up to oversee the financial activities. Corporate finance is primarily concerned with maximizing shareholder value through long-term and short-term financial planning and the implementation of various strategies. Everything from capital investment decisions to investment banking falls under the domain of corporate finance.
This 3-day course provides a complete practical guide to the mechanics of modern corporate finance. It is applicable to any manager working in, directly working for or in need to assess a company as a stakeholder.
Key areas covered include:
The principles of corporate finance
The role of finance versus accounting and the purpose of creating shareholder value
The tools available to the corporate finance department
The financial statements and understanding the organisation through ratios.
The fundamentals of capital markets and the time value of money
The capital structure and the dividend policy
The cost of capital and capital budgeting
An introduction to company valuation
Corporate governance and the rationale behind mergers and acquisitions
€1.890
Evenement
Investment Funds Xplained - Luxembourg
"Fund management can seem daunting – yet investors and financial advisers must drill down into a manager’s investment philosophy and process. You need to be armed with the right questions, which means having a framework for understanding manager activities and structure in order to make sound decisions."
In these 3 days we focus on the 4 key areas namely the philosophy, product, the performance and the portfolio. This gives you a framework for asking the right questions. You will learn how a fund is constructed, how it is managed. Why the mix of different asset classes, why some funds perform and others don't. Learn the linkage between economic activity and investment markets, learn the strategies employed by fund managers and measure the performance of funds through the fund documentation.
We discover some of the key issues on:
The different fund types and fund characteristics
The asset classes and associated risk
Modern portfolio theory
Comparative fund types and structures
Understanding benchmarks, mandates, investment objectives and constraints
Fund management styles
Performance and performance measurement
The fund documentation
€1.460
Evenement
Investment Funds Xplained - Luxembourg
"Fund management can seem daunting – yet investors and financial advisers must drill down into a manager’s investment philosophy and process. You need to be armed with the right questions, which means having a framework for understanding manager activities and structure in order to make sound decisions."
In these 3 days we focus on the 4 key areas namely the philosophy, product, the performance and the portfolio. This gives you a framework for asking the right questions. You will learn how a fund is constructed, how it is managed. Why the mix of different asset classes, why some funds perform and others don't. Learn the linkage between economic activity and investment markets, learn the strategies employed by fund managers and measure the performance of funds through the fund documentation.
We discover some of the key issues on:
The different fund types and fund characteristics
The asset classes and associated risk
Modern portfolio theory
Comparative fund types and structures
Understanding benchmarks, mandates, investment objectives and constraints
Fund management styles
Performance and performance measurement
The fund documentation
Recommend background
All users and buyers of investment or pension funds who want to have a tighter control and understanding on the funds products they are managing or buying in.
€1.460
Evenement
How the Financial Markets work - Brussels
"Strip away the mystique of the world of markets and investments and gain full insight into the origins of these markets. Learn about the key concepts and the structure of capital markets, the key players, the role of the regulatory institutions, the financial instruments, the risk and derivatives."
On a daily basis we are overwhelmed with news and from a publisher’s perspective, is that they’re addictive. A story which doesn’t unfold, all in one, goes like a novel and fills in, bit by bit over days.
The story of financial markets, as presented in various media, is like that. Every day we get a few disjointed pieces of information and for some reason they rarely add up to a practical market principles, like diversification or the understanding of markets and efficiency.
In order to manage your business, it is vital that strategies and plans can be developed with realistic prospects of success.
You will learn tools and frameworks to help understand and predict the medium- to long-run performance of economies to mitigate risk, develop growth plans, and make decisions, both locally and abroad. Participants will leave the program with a better understanding of the global economic environment, global market strategy, macroeconomics, and how these things impact their company and their business decisions.
The 3 days are designed to remove the confusion that often surrounds the financial markets. It looks at markets from a global perspective and helps you to understand the drivers, companies and products that influence them.
You will gain full insight into the origins of the capital markets, key theory, the key players and the role of the regulatory institutions. We study the main financial products and the uses and abuses of derivatives.
We will explore:
What makes up a market, where is the market, is the market attractive, where does the market exist and in which form?
The fundamentals of financial markets and key theory
The Issuers and borrowers of funds
The key players in the financial markets including issuers, investors and intermediaries
The key features of both equity and debt products
What we mean by systematic and unsystematic risk
The structure of the FX market
The derivative markets including futures, options and swaps.
The role of commercial and investment banks
Market regulation and monitoring
Global market risk and instrument risk
Introduction to qualitative and quantitative measures
€1.890
Evenement
Finance Pour Non-Financiers - Genval
"Dans l’environnement d’affaires actuel, tous les directeurs ont besoin d’une connaissance pratique de la gestion financière pour prendre des décisions d’affaires éclairées."
Ce cours de 2 jours est conçu pour fournir aux non-financiers un cadre financier solide. Une gestion efficace dépend des décisions financières solides et en tant que manager, ou toute autre personne en charge du budget, il faut être capable :
D’interpréter les données financières, les déclarations de revenus et de flux de trésorerie et le bilan financier
De comprendre le cadre de la budgétisation, les types de budgets et les utilisations de la budgétisation
De développer les compétences nécessaires pour analyser et développer des projets d’investissement (capex)
D’interpréter les indicateurs de performance clés et d’évaluer votre apport à votre organisation.
Ce programme exhaustif et pratique donne aux non-financiers les compétences et la confiance nécessaires pour analyser et interpréter l’information financière, par le biais de théories essentielles et d’ exercices pratiques leur permettant de prendre des décisions qui offrent une valeur ajoutée dans votre organisation.
Contexte recommandé
Ce programme est conçu pour les directeurs et collaborateurs de milieux non-financiers qui ont besoin de plus en plus d’utiliser les informations financières pour évaluer les performances et prendre des décisions. Le programme est utile si vous avez peu ou pas de connaissances financières préalables, ainsi que pour ceux qui recherchent une remise à niveau. Les participants viennent de divers milieux, y compris la gestion technique, opérationnelle, de marketing et générale.
€1.460
Evenement
Inzicht in de Jaarrekening & Performantie Analyse - Gent
Leer de feiten achter de getallen te ontcijferen.
Ontdek de voordelen en leer in twee dagen hoe een jaarrekening en de performantie van een onderneming grondig te analyseren!
Gewapend met deze kennis en een beter inzicht in de onderneming zal je in staat zijn betere strategische, financiële, operationele, investering of kredietverlenende beleidsbeslissingen te nemen.
In deze twee dagen, nemen we je door de jaarrekening van een huidige internationale onderneming en leren stap voor stap de betekenis van dit rapport. We maken besluiten over de staat van de financiële positie, de marktpositie t.o.v. van de competitie, de toekomstige strategische uitdagingen, wat de financiële markten denken over de onderneming en evalueren de resultaten binnen het huidige economisch klimaat. Hierbij maken we gebruik van de Het verslag van de Raad van Bestuur, de balans, de resultatenrekening en de kasstroomanalyse!
De belangrijkste topics:
Het belang van de jaarrekening als instrument voor beslissingen!
Hoe worden de activiteiten en de financiering van een organisatie gereflecteerd in de jaarrekening?
De jaarrekening en de boekhoudprincipes (GAAP & IFRS)
De componenten van een financieel verslag waaronder de balans, de resultatenrekening en de kasstromentabel
Het onderscheid tussen kasstroom en winst en het belang van de verschillende rapporten
Hoe financiële verslagen gebruiken bij forecasting en budgettering
Hoe performantie meten met behulp van kengetallen
Analyse van de verschillende types van winstgevendheidsratio’s
Hoe liquiditeit en solvabiliteit van een organisatie meten
Leer na te gaan of een organisatie efficiënt is
Analyseer en interpreteer de bijlagen bij de jaarrekening
Maak besluiten over de positie als manager, investeerder, kredietverlener, leverancier of als klant!
€1.460
Evenement
Enterprise wide Risk management - Luxembourg
"As the world becomes increasing more complex, the speed of change creates greater amounts of uncertainty that can impact (both positively and negatively) organisations overnight, risk management skills is becoming an expected core competency of all individuals who seek to be in executive leadership positions."
Enterprise risk management (ERM or E.R.M.) in business includes the methods and processes used by organizations to manage risks and seize opportunities related to the achievement of their objectives. ERM provides a framework for risk management, which typically involves identifying particular events or circumstances relevant to the organization's objectives (risks and opportunities), assessing them in terms of likelihood and magnitude of impact, determining a response strategy, and monitoring progress. By identifying and proactively addressing risks and opportunities, business enterprises protect and create value for their stakeholders, including owners, employees, customers, regulators, and society overall.
This 2 day intensive and highly practical program will give you a thorough grounding in the methodologies behind enterprise wide risk management. We learn:
What we mean by risk management and why it is important for organisations.
Understanding enterprise risk as an opportunity or threat
Overview of risk and types of risk
The ERM framework of risk management and developing an appropriate structure
How to get started with ERM and how far do you want to go?
Learn the technique of risk identification techniques and scoring
Getting buy-in from the very top of the organisation
The techniques of risk assessment and risk monitoring tools
What do we mean with financial risk and the different types of risk
Managing operational and infrastructure risk
The risk of strategy and the market place
Managing your reputation and hazard risk
How to initiate the project, the financing and monitoring
€1.460
Evenement