إتقان الإدارة المالية | Mastering Financial Management

Alfaisal University | KLD via Coursera

Go to Course: https://www.coursera.org/learn/mastering-financial-management

Introduction

### Course Review: “Mastering Financial Management (إتقان الإدارة المالية)” on Coursera #### Overview In the contemporary business environment, making informed investment decisions is crucial for organizations striving to optimize their portfolios and maximize returns. The course “Mastering Financial Management (إتقان الإدارة المالية)” available on Coursera offers a comprehensive examination of financial management concepts and techniques, essential for anyone looking to enhance their investment decision-making skills. This course effectively highlights the importance of financial analysis methodologies, budget estimation, and risk assessment in evaluating potential investment projects. Enrollees will learn to navigate the complexities involved in forecasting future returns, determining liquidity demands, and critically assessing the associated risks—all vital components for making sound investment choices. #### Course Content and Structure The syllabus is well-structured and packed with valuable insights that benefit both beginners and those with some existing knowledge in financial management. The main topics covered include: 1. **Key Ratios for Liquidity and Efficiency Analysis:** Understanding crucial financial ratios equips students to analyze a company’s financial health effectively, making it easier to compare potential investments. 2. **Net Working Capital:** The course explains the significance of net working capital and its role in sustaining daily operational excellence, ensuring learners can maintain adequate liquidity while also maximizing operational efficacy. 3. **Incorporating Risk in Investment Decisions:** One of the standout features of this course is its focus on risk assessment. Students gain insights into how to quantify risks and incorporate them into investment evaluations, enabling more robust and defensible decision-making. 4. **Sensitivity Analysis:** This analytical tool is vital for understanding how different scenarios and variables can impact investment outcomes. The course offers practical applications of sensitivity analysis to prepare learners for real-world financial assessments. #### Target Audience This course is ideal for finance professionals, aspiring financial managers, business owners, and anyone interested in developing their expertise in financial management. Whether you’re looking to refine your skills or are delving into financial management for the first time, the curriculum is designed to cater to diverse learning paces and backgrounds. #### Recommendation I highly recommend “Mastering Financial Management” for anyone seeking to deepen their understanding of financial principles or enhance their decision-making skills in investment contexts. The course provides an engaging blend of theoretical knowledge and practical applications, positioning it as a highly useful resource in the field of financial management. With the critical emphasis on risk assessment and detailed financial analysis, learners can expect to walk away with not only a robust understanding of financial management concepts but also practical skills that can be directly applied in real-world business scenarios. Enrolling in this course will undoubtedly add value to your professional development in finance while empowering you to make informed investment decisions that consider both returns and risks. Embrace the opportunity to master financial management—your future self will thank you! ### Enroll Today! Take the first step toward becoming a proficient financial manager by enrolling in “Mastering Financial Management (إتقان الإدارة المالية)” on Coursera today!

Syllabus

(Mastering Financial Management) - إتقان الإدارة المالية

ستزودك هذه الدورة باطلاع واسع ودقيق على مجموعة من المحاور المتعلقة بهذا الموضوع، مثل: التعرف على النسب الرئيسية لتحليل السيولة والكفاءة، فهم المقصود بمصطلح صافي رأس المال العامل، شرح أهمية أخذ المخاطر في الاعتبار عند تقييم القرارات الاستثمارية، شرح استخدام تحليل الحساسية.

Overview

عند تقييمها للمشروعات الاستثمارية المتاحة لديها، وبغية الوصول إلى القرار الاستثماري الصحيح، تعتمد الشركات على العديد من العوامل، ومنها استخدام أساليب التحليل المالي وتقدير الموازنات المطلوبة لكل مشروع وقياس العوائد المتوقعة مستقبلاً لكل مشروع للمقارنة بين المشاريع واختيار أفضلها، لكن العامل الأكثر أهمية في اتخاذ القرارات الاستثمارية والذي بدونه تُصبح جميع الدراسات غير ذات قيمة هو عنصر المخاطر (Risks). فمن خلالها يمكن توقع احتمالية حدوث التعثر المالي أو عدم قدرة الشركة على توفير السيولة المطلوبة

Skills

التعرف على النسب الرئيسية لتحليل السيولة استخدام تحليل الحساسية المقصود بمصطلح صافي رأس المال العامل

Reviews