In that respect, PwC's Academy invites you to attend its one day workshop on advanced skills in preparing cash flow statements. Our workshop will cover the more complex aspects of cash flow accounting, like groups with foreign operations.
This workshop will provide the audience with the opportunity to learn the tricks involved in preparing consolidated statement of cash flows and the complexities of involving the translation of a foreign subsidiary. They will also apply the knowledge learned during the course to analyse performance through reading and interpreting statements of cash flows.
Using practical examples, exercises, case studies and role play.
CFO's, finance managers, head of finance departments, accounting and audit practitioners who prepare accounts and cash flow statements should find the workshop to be relevant and interesting.
We have three discount options available, however please check with us directly for details as discounts are limited to certain cities.
- 5% early bird discount for registrations completed one month before session date
- 10% corporate discount for a minimum of 3 registrations : Contact us directly
- 15% discount for groups of 4 or more delegates
The discounts cannot be combined.
Recap on the cash flow statement: scope and application; existing requirements
Practical issues in preparing consolidated cash flows
Acquisition and disposal of subsidiaries
Transactions with non-controlling interests
Treatment of foreign subsidiaries
Treatment of associates
Analysis of cash flow statements
There are no scheduled dates for this course. Fill out the form to check future dates or deliver the course in-house