As valuation practitioners, were perform financial statement analysis to gain an understanding of the business we are valuing and its cash flow. In today's economic environment, it's more important than ever to expand our financial analysis to help clients understand their current and expected financial picture, address cash flow management concerns, and help clients evaluate their investment and credit opportunities.
This session will focus on turning the financial analysis into opportunities to help clients with the financial issues they are struggling with. We will highlight key steps in financial analysis and discuss ways of evaluating current and future cash flows. In addition, we will explore turning these into decision making tools to assist clients.
Describe the financial statement analysis process
Identify cash flow opportunities and risks
Adapt financial and cash flow analysis to investment and debt decision making