Preparing for professional finance exams requires a crystal-clear understanding of both corporate financial strategies and macroeconomic principles. This comprehensive, text-based revision guide is designed to help you consolidate your knowledge, unpack complex formulas, and grasp the core theories of Financial Management and Economics for Finance.
Through structured explanations and practical written scenarios, you will transition from memorizing formulas to deeply understanding financial decisions and economic policies. You will develop the analytical skills needed to evaluate capital structures, assess investment proposals, and analyze monetary interventions.
What you'll learn:
- Understand foundational financial management concepts, including the time value of money and risk-return trade-offs.
- Analyze capital budgeting decisions and evaluate investment proposals using modern financial metrics.
- Calculate the cost of capital, capital structure leverage, and optimal working capital requirements.
- Examine macroeconomic indicators, national income accounting, and the role of public finance.
- Explore monetary policy tools, modern banking systems, and the impact of digital currencies on the economy.
- Master international trade theories, exchange rate mechanisms, and global capital flows.
The course begins with essential terminology and the core objectives of financial management before diving into structured modules on investment decisions, financing choices, public economics, and international trade. Each section features detailed written explanations, step-by-step formula breakdowns, and practical revision exercises.
This course is designed for finance students, professional exam aspirants, and beginners seeking a structured, comprehensive review of financial management and economic policy. No advanced prerequisites are required.
Start reading today to sharpen your financial acumen and master your upcoming exams.
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