This module consists in principles, methods, techniques and tools specific to financial management of the company in connection with its financial strategy, investment and financing policy.
By the end of this module, students will:
Know how to consider data from balance sheet, income statement, cash flow statement
Understand how to evaluate a company’s performance and risk, using ratios
Develop the skills to forecast cash flows and other financial items for an investment project
Estimate the cost of capital and consider financial decision optimization
Assess a capital budget decision for selecting feasible investment projects
Laura BRAȘOVEANU
Professor PhD BUCHAREST UNIVERSITY OF ECONOMIC STUDIES