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Discover how new and emerging technologies—from drones to quantum computing—will disrupt the future of auditing
Explore how to create robust financial models to present company finances to stakeholders, empowering more informed decision-making
Learn to use Excel functions for financial analysis
Learn what capital markets are and how they work
Learn how behavioral finance—the psychology of investing—can lead to better financial decisions and investments
Make better decisions using your financial data
Learn how to prepare the paperwork, people, and processes to make an independent audit run smoothly
Learn how to effectively operate as a global business and avoid common international accounting issues while leveraging multiple currencies for financial strength
Discover the best ways to use Excel for a variety of key tasks in the insurance, commercial banking, and investment banking fields
Learn how to protect business profitability during a recession or financial downturn
Data analysis, modeling, and forecasting are increasingly important for many jobs
In this course, learn how to create various types of corporate financial statements
Learn how business leaders approach strategic financial decisions, and how leaders outside finance can support the finance team to maximize business and professional success
Learn how to make long-term business decisions using net present value (NPV) and internal rate of return (IRR), including how to apply the foundations of the time value of money
Learn how recessions impact industries, jobs, investments, and companies
Learn the basics of corporate finance and its impact on decision-making and growth
Partnering with other investors? Learn how to use the waterfall framework to track and share the profits from real estate deals involving multiple investors
Learn how to track major economic data points and understand changes in the economy to make more informed business decisions
Learn how to create forecasted financial statements for your company, including forecasted income statements, forecasted balance sheets, and forecasted statements of cash flow
Learn how to build financial models that can be used in corporate finance, investment banking, and for firm valuation
Learn how to develop a risk management program to reduce financial liability, protect your property and your people, and ensure you stay open for business—no matter what happens
Learn how to use Microsoft Management Reporter to automate and simplify your reporting from Dynamics GP
Discover how to use Excel for essential tasks required in corporate finance
Prepare for the worst before things go bad
Learn how to determine the profitability of your products, and how to plan your product performance to achieve your business goals
Learn how to evaluate and visualize cash flows using Microsoft Excel
Great businesses can fail because of improperly managed cash flows
Learn where a business is headed and the resources it will need to succeed
Explains what financial ratios such as ROA and ROI mean and how they can be used to identify financial trends or assess a company's financial status
Learn how to analyze the bottom line (or profitability) of your company, by analyzing your gross margin and operating expenses with Excel
In this series, accounting professors Jim and Kay Stice break down essential accounting and finance concepts into bite-sized chunks that are easy to understand
How do you know when you'll make a profit? Jim and Kay Stice explain the ins and outs of breakeven analysis and cost-volume-profit analysis, and what it means for your business
Quickly create financial forecasts using big data, predictive analytics, and Microsoft Excel
Learn how to value a business using different valuation methods, such as multiples, earnings ratios, and discounted cash-flow analysis
Learn how to analyze the top line (aka revenue) for your company and identify areas of under- or overperformance with Excel
Get a basic understanding of financial management, sufficient to interpret reports, draft budgets, cost products, and make informed financial decisions
Analyze past performance data and get a realistic picture of your company's future performance using Microsoft Excel
Learn why performance measurement is critical and how to develop business metric systems that align with your business goals
Learn about the high-level concepts of business performance analysis, and find out how to make informed decisions about the financial future of your company
Learn how to leverage managerial finance to analyze and influence decisions related to your organization’s financial performance
Improve your understanding of financial documents with this deep dive into the statement of cash flows financial document
Learn how to protect financial integrity through well-structured corporate governance
Learn how to use economics to make better business decisions
Discover how to leverage the power of numbers to make everyday decisions and better understand the world around you
Build and grow a financially healthy small business
Leverage Excel to make sound investments
Learn how to effectively navigate your finances to ensure you have a successful financial future
Learn common financial terms for banking, doing your taxes, investing and retiring, and running a small business
Discover how to use Microsoft Excel to quickly create financial forecasts with analytics and big data
Explore the value of customer service and discover how it can earn a return on investment (ROI)
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