Finance and Accounting

Training Course: The Oxford 5-Day MBA in Finance


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FI2019

6 - 10 Jul 2026

Singapore

Cost : 6250 € Euro

Introduction

It is crucial that today's business professionals understand the flow of financial resources. Such an understanding is needed daily; whether it is used to anticipate trends, evaluate company performance or obtain funding. People from non-financial backgrounds are often called upon to make decisions based on modern financial controls, and they must have the know-how to navigate the financial systems that have a significant impact on their professional responsibilities.

Oxford Management Centre has created the 5 Day MBA in Finance to provide business professionals with a deeper understanding of corporate finance as practiced by today's most powerful companies. Designed specifically for non-financial personnel, this intensive seminar approaches the subject of finance as it relates to the corporation as a whole.

The highlights of the course include:

  • Extensive and deep coverage of the subject area

  • A real-world approach to the discipline

  • Numerous examples based around market data

  • Contemporary approach drawing on recent market developments

  • Integration with spreadsheet modeling

Objectives

The seminar provides delegates with the tools required to find better answers to questions such as:

  • What is the appropriate discount rate to be used in investment appraisal?

  • What are the pros and cons of different types of financing?

  • What factors must be considered in deciding on dividend policy?

  • What is the exact nature and scope of the issue to be analyzed?

  • What products are available to manage risk?

  • Why is correlation so important in managing risk?

  • Which specific variables, relationships, and trends are likely to be helpful in analyzing an annual report

Target Audience

  • Non-financial managers and professionals in all business functions
  • Senior executives and decision-makers involved in financial strategy
  • Business analysts and corporate planning professionals
  • Project managers and operations managers
  • Sales, marketing, HR, and administrative managers responsible for financial decisions
  • Finance and accounting professionals seeking advanced corporate finance knowledge
  • Investment, treasury, and risk management professionals
  • Entrepreneurs and business owners
  • Professionals involved in budgeting, forecasting, and performance evaluation
  • Individuals aiming to understand corporate finance, capital markets, and investment decision-making
  • Professionals seeking MBA-level knowledge in finance and financial markets

Outlines

DAY 1

An Introduction to the Financial Markets

  • An introduction to the equity markets:

    • IPO

    • Market Indices

    • International Equity Market Links

  • An introduction to bond markets

  • Long Term versus Short Term

  • Treasury versus Corporate

  • Types of Bond

  • The spot and forward market

  • Exchange Rate trends and linkages

  • Carry Trades

  • Futures

  • Options

  • An introduction to the FX market

  • An introduction to the Derivatives Market

  • The link between risk and return

DAY 2

Evaluating Investment Opportunities

  • The Markowitz model of Portfolio Risk

  • The Capital Asset Pricing Model

    • A practical application of the CAPM to a range of companies

  • The time value of money and discounted cash flow techniques

  • The Gordon Growth Model

  • A practical application of forecasting dividends

  • Determining the Cost of Debt

  • The Ameritrade Case

  • The importance of the cost of capital

  • Scenario analysis

  • The weighted average cost of capital (WACC)

  • A practical application of the IRR approach

  • Pitfalls in using the IRR approach

  • Investment Appraisal using the Net Present Value approach

  • Payback and adjusted Payback

  • The Internal Rate of Return (IRR) approach

  • Real Options

DAY 3

A Walkthrough an Annual Report

  • The Balance Sheet

  • The Income Statement

  • The Cash Flow Statement

  • Ratio Analysis

  • A practical application of Ratio Analysis:

    • Apple v Microsoft

    • Next v Tesco

    • Easyjet v British Airways

  • Forecasting Sales

  • The cost of sales approach

DAY 4

The Corporate Financing Decision

  • Financial Leverage

    • Modigliani and Millers Theory of Capital Structure

    • The Risk of Bankruptcy

    • The Optimal Capital Structure

  • The Dividend Decision

  • The clientele effect

  • The taxation effect

  • The principal-agent problem

  • The market for Corporate Control

DAY 5

Risk Management

  • Hedging Exchange Rate risk using:

    • the forward market

    • the options market

    • zero-cost collars

  • Hedging commodity price risk using:

  • Options

  • Futures

  • Practical Application of airlines hedging fuel price risk- the importance of correlation

Finance and Accounting

Training Course: The Oxford 5-Day MBA in Finance


Register Now
Quick Inquiry
Discount Group Download Brochure (46)

FI2019

6 - 10 Jul 2026

Singapore -

Cost: 6250 € Euro

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