• Length:
    5 Weeks
  • Effort:
    2–3 hours per week
  • Price:
    $200 USD
  • Institution
  • Subject:
  • Level:
    Advanced
  • Language:
    English
  • Video Transcript:
    English

Prerequisites

  • Basic Accounting

About this course

This course is Part 2 of the Credit and Credit Risk Analysis Professional Certificate program from the New York Institute of Finance. In this course, you will learn how to review and analyze financial metrics and ratios that are used to assess borrowers performance and profitability. You will look at a few companies' business models, revenue generation, asset-conversion cycle, and asset quality and asset productivity. 

You’ll also review and analyze financial metrics and ratios that assess borrower liquidity, working capital and working investment, and short-term funding. 

Lastly, you’ll learn how to analyze leverage and capital structure of a company and understand the borrower’s off-balance-sheet risks, the risk of organization structure and the risks of management strategy.

What you'll learn

  • Financial Ratios, Metrics, and Analysis
  • Off-Balance-Sheet Risks
  • Organization Structures
  • Management

Meet your instructors

Tracy Williams
NYIF Instructor
NYIF

Learner testimonials

“I earned a professional certificate in Credit Risk Analysis from the New York Institute of Finance and was pleasantly surprised by how much I learned in such a short period of time! Taking this course has helped me tremendously at work in many ways; most noticeably my credit analysis skill set grew and developed even further, resulting in an improvement in my credit reviews and much more positive feedback from my manager!”

- Pawel Kuzniar, Credit Risk Review Analyst at RBC Capital Markets, ’18 Credit Risk Analysis Professional Certificate
  • Mod 01: Financial Ratios, Metrics, and Analysis
  • Mod 02: Off-Balance-Sheet Risks
  • Mod 03: Organization Structures
  • Mod 04: Management