Corporate Transactions and M&A
This programme provides robust coverage of corporate finance skills and techniques. Day One covers the accounting treatment of transactions and briefly addresses corporate valuation. Day Two covers M&A, looking at rationale, synergies, public bid processes and analysis and private transaction structures and analysis. The final day covers private equity and leveraged transactions. The emphasis is on interpretation and evaluation of corporate finance activities, including valuation, mergers and acquisitions and leveraged finance. Excel will be used extensively to assess transaction parameters and learn how to put together well-designed valuation and deal models. Showing participants how to spot opportunities in these areas will be embedded throughout the course.
Any professional who wishes to understand M&A transactions and leveraged transactions. Primarily the course is intended for Corporate Bankers, Credit Officers, junior staff in IBD, Private Bankers, Risk Managers and Capital Markets and other professionals in the securities dealing areas of a bank.
- Prior Knowledge:
Familiarity with IFRS financial statements, intermediate level Microsoft Excel skills.