Finance

Strengthen the links between operational and financial plans

Corporate and market finance is a dynamic field that requires professionals to continuously improve their skills and knowledge. Lifelong learning is essential for individuals working in finance to stay up-to-date with the latest trends and developments in the industry. It enables them to make informed decisions and provide valuable insights to their organizations. Investing in employee training and development is not only beneficial for individuals but also for the overall success of the company. By promoting a culture of lifelong learning, corporations can foster innovation, creativity, and agility, which are essential for staying ahead in today's competitive business environment.

Programs

While there is some overlap between the two, corporate finance focuses more on the specific financial needs of a company, while market finance deals more with the broader financial environment in which companies operate. Corporate finance deals with the financial management of companies and making decisions to maximize shareholder value, while market finance focuses on the trading and exchange of financial assets in various markets. Both areas are interconnected and play important roles in the overall functioning of the economy.

 

Financial Optimization

Optimizing your company's financial management helps drive financial performance, mitigate risks, make informed decisions, and maintain a strong financial position, leading to sustainable growth and success. To optimize financials, it’s necessary to fully understand how this complex function interacts with the organization and to be able to measure and analyze performance.

Financial Performance

Every business is different, so each should have its own set of performance measurements. But there are some common rules to follow in designing effective measurements. For example, in addition to the standard set of accounting-based and economic value based (EVB) financial metrics, the set of measures should include non-financial metrics that view the company from outside-in.

Corporate Financial Stability

Corporate financial stability refers to the ability of a company to maintain a solid financial position over the long term. It involves managing various aspects of the company's finances to ensure its viability, profitability, and resilience against economic challenges.                     Achieving and maintaining corporate financial stability is an ongoing process that requires diligent financial management, strategic decision-making, and a focus on long-term sustainability.

Complex Financial Situations

Complex financial situations can refer to various scenarios that involve intricate or challenging financial matters. These situations often require careful analysis, strategic decision-making, and expert guidance.        There are many complex decisions to make when it comes to finances. If you’re ready to take a deeper dive to explore whether you’re doing the right things to build or maintain your wealth, we have a few other resources you may find helpful to maintain your corporate financial wellness.

Financial Markets

Corporate actions refer to events initiated by a publicly traded company that can have an impact on its shareholders or securities. These actions can include events such as stock splits, dividends, mergers and acquisitions, share buybacks, rights issues, spin-offs, and more. Understanding corporate actions is important for investors and financial professionals, as they can influence investment decisions and the overall market dynamics.  By learning this course you will be able to: Understand the reasons for corporate actions (both equity and debt); Look at the sequential steps in processing corporate actions; Cover the various risks, risk mitigation and  processing efficiency of corporate actions

Sustainable Investing

Learn how to evaluate, measure, and manage sustainable investment opportunities with cutting-edge frameworks, strategies, and techniques.

The course content is well designed and helps investors get a basic understanding of what sustainable finance is, its challenges, the path forward, and its key players. 

Analyze cutting-edge implementation strategies. Gain insights into the climate risk inherent in investment opportunities. Discover how to integrate risks into financial models. Think critically about how and where to add value while avoiding “impact washing”


 

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E-mail: office@scala-univ.com

Address: 20 - 22, Wenlock Road, London, N1 7GU, United Kingdom

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