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FM Financial Management (F9)

How to prepare ACCA exam FM Financial Management
Tutor FM Advanced Financial Management (F9)

Welcome new FM online course! We have prepared them based on our experience and exhaustive up to date syllabus changes. Our tutors, ACCA members, put all their professional expertise and tutor experience to provide your appropriate quality course which enables effective ACCA exam preparation. FM course was prepared under the supervision of Ruslan Golovanov, FCCA, with FM tuition experience since 2014

Detailed Study Content
Course Introduction
1 Welcome Financial Management (1:56)
2 Course Introduction (16:48)
Fast Forward - Discounted Cash Flow
3. Fast Forward (FF): Part D Investment Decision and Discounting Cash Flow Approach (Theory) (15:15)
4. Question approach: Read the mind of a marker (40:00)
5. FF Part D Practice: TDK – Solution (20:26)
6. Test - Fast Forward Discounted Cash Flow
7. Homework
Part A Financial Management Function
8. Nature and Purpose of Financial Management (12:16)
9. Financial objectives and relationship with corporate strategy (20:37)
10. Stakeholders (19:17)
11. Performance Measurement (14:21)
12. Ratio Analysis and Questions (1.3, 1.5,1.9 & 2.1-2.5) (17:43)
13. Encouraging the achievement of stakeholders objectives (13:56)
14. Financial and other objectives of Non4Profit Organisations (5:58)
15. Question 1.4, 1.6, 1.7 & 1.8 (6:04)
16. Question 3 GazBrom (15:06)
17. Question 4 Life as a miracle (8:37)
18. Homework
19. Recall theory through audio podcasts
20. Tests after Part A
Part B Financial Management Environment
21. Introduction (3:13)
22. Main Macroeconomic Policy Targets (34:20)
23. Role of the Government in the business (11:11)
24. Financial Markets and Intermediaries (9:25)
25. Securitisation and Tranching (18:29)
26. Stock and Bond market function (14:01)
27. Money Market role (12:31)
28. Role of Banks and other Institutional investors (7:33)
29. Money Market Instrument Classification (22:01)
30. Questions after Part B (5.1-5.5) (9:12)
31. Questions after Part B (6.1-6.5) (5:47)
32. Questions after Part B (7.1-7.5) (7:54)
33. Howework after part B. Question 8 (9:28)
34. Howework after part B. Question 9 (8:05)
35. Homework
36. Tests after part B
37. Recall Part B theory through audio podcasts
Part C Working Capital Management
38. Nature, Elements and Importance of Working Capital (8:14)
39. Objectives of Working Capital and overtrading (7:04)
40. Liquidity Ratios (6:32)
41. Practice: Crago Co and Overtrading (18:38)
42. Inventory Management (8:27)
43. Account Receivables and Account Payables Management (4:51)
44. Cash Management: Theory & Examples (19:57)
45. Working Capital funding strategy (3:51)
46. Tests after Part C
47. Homework
48. Recall Part С theory through listening audio podcasts
Part D Investment Appraisal
49. Discounting Cash Flow (DCF) (9:43)
50. Discounting Cash Flow (DCF) Examples (14:56)
51 Allowing for Inflation, Taxation and Risk and Uncertainty (6:33)
52. Sensitivity Analysis. Example (13:12)
53. Specific Investment Decision and Capital Rationing (19:38)
54. Tests after part D
55. Homework
56. Recall Part D theory through audiopodcasts
Part E Business Finance
57. Finance source choice - Debt and Equity instruments (11:48)
58. Methods of raising equity finance – TERP (11:09)
59. Theoretical Exrights Price Example (6:57)
60. Islamic Finance Instruments (8:43)
61. Dividend Policy (14:00)
62. Capital Asset Pricing Model (CAPM) and Dividend Growth Model (8:57)
63. Valuation of Debt (6:05)
64. Weighted Average Cost of Capital (7:05)
65. Modigliani and Miller theory (4:06)
66. Pecking Order Theory (6:02)
67. Test Cost of Capital
68. Tests after part E
69. Homework
70. Recall Part E theory through audipodcasts
Part F Business Valuation
71. Business Valuation (7:18)
72. Efficient Market Hypothesis (EMH) (6:17)
73. Behavioural Finance (8:13)
74. Tests after part F
75. Homework
Part G Risk Management
76. Introduction to Risk Management (21:12)
77. Treasury Function (8:09)
78. FOREX Risk Management (8:07)
79. FOREX Risk Management Example: Money Market Hedge (6:47)
80. Interest Rate Risk Management: Internal Hedging Techniques (10:53)
81. Risk Management Summary (8:43)
82. Tests after part G
83. Homework
84. Recall Part G theory through audipodcasts
Final Revision
85. Before Revision (3:40)

Choose your course

FM Financial Management - 1 year access for online course
Content
Standard
Extended
Video lectures with theory and analysis of typical problems, 60 academic hours, 1 year access
Lectures notes including all theory needed (in pdf slides)
Revision Kit (in pdf)
Hometask and tests
Audio podcasts
Tutor support 24/7 through group chat
Marking mock and individual feed back
Final live webinar, 8 academic hours
89 USD
159 USD
199 USD
399 USD

FM Financial Management - 1 year access for online course
Content
Standard
Extended
Video lectures with theory and analysis of typical problems, 60 academic hours, 1 year access
Lectures notes including all theory needed (in pdf slides)
Revision Kit (pdf)
Hometask and tests
Audio podcasts
Tutor support 24/7 through group chat
Marking mock and individual feed back
Final live webinar, 8 academic hours
89 USD
159 USD
199 USD
399 USD
How to enroll to the courses?
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