
General training capacity
Trainer for Forvis Mazars
About this trainer
Forvis Mazars Financial Modelling is a methodology which enables professionals and organisations to work with a structured approach to financial model development. Our financial modelling methodology enables an increased level of standardisation for model architecture, presentational elements and calculation logic, but is flexible enough to allow for individual adaption as required.
- Experience
- 4 years
- Languages
- English
- Delivers in
- USA (West Coast)USA (East Coast)USA (Other)AsiaEuropeIndiaUKCanada
- Customisation
- Full course design
Subjects
Finance (69)
Initial Public Offerings (IPOs)Synergy AnalysisOptionsCredit DerivativesSwapsRisk ManagementLiquidityMerger modelingSectoral researchHedge FundsStructured FinanceDerivatives
Show all 69 Finance subjects
ECM (Equity Capital Markets)LeverageSensitivity analysisReal Estate ModellingBankingBank credit analysisCorporate financeCorporate Finance AdvisoryBonds (Fixed Income)Credit Default SwapsCapital markets and securities issuanceCapital marketsCapital Structure AnalysisSecurities and derivatives tradingSecondary Market and Block tradesSecuritisationValuation TechniquesValuationUnderwritingStocksTrade settlementThree statement modellingDCF (Discounted Cash Flow) modelingDebt UnderwritingRiskDCM (Debt Capital Markets)Debt and Equity Capital MarketsStructuringSharesMergers and AcquisitionsMergersOperational RiskPrivate EquityNon-bank Financial InstitutionsPrecedent Transaction AnalysisPortfolio managementLBO (Leveraged Buyout) modelingM&A analysis and executionInternational financeEquityIntroduction to financial servicesMacroeconomic analysisInvestmentInvestment BankingFinancial ModellingFund managementInterest rate risk managementFront, middle and back officeStructured productsEconomicsMarket RiskDiscountingLeveraged FinanceInflation modellingInterest Rate SwapsDiscounted cash flowInterest Rate Derivatives
training from £2,000