Description
When we are learning something new, we always need to start with the basics.
This course will provide you with the
basic skills to calculate and interpret the financial ratios of a company using Excel
. After you complete this course
you will be able to
:
Work with multiple
spreadsheets
and manipulate them for your preferences
Use the
cells
easily and understand the basic functions
Know how to use the
basic formulas
Know how to insert and use
charts and
spark lines
Retrieve
financial statements
of various companies
Use the liquidity, efficiency, leverage, coverage, and profitability ratios
Perform analysis of a cash flows statement
Able to continue
to more
advanced
Excel and Financial Analysis courses
I encourage you to
take notes
, and
work together with me
during the course. This is very important for you to become confident with application of your knowledge.
I believe that everyone should have the appropriate basic Excel skills and to perform basic financial analysis.
Once you complete the course,
review
it so that other students can enjoy it too.
Enjoy the course!
Requrirements
Requirements
No previous knowledge is required
Bring your positive attitude
Have Microsoft Excel installed on your computer