Visão Geral
Este curso ensina o uso do Excel aplicado à área financeira, abordando cálculos, análises e controles essenciais para o dia a dia corporativo. O foco está na organização de dados financeiros, uso correto de fórmulas, análise de resultados e apoio à tomada de decisão.
Conteúdo Programatico
Module 1 – Finance and Excel Fundamentals
- Excel in Financial Management
- Financial Data Concepts
- Corporate Financial Routines
- Best Practices for Financial Spreadsheets
Module 2 – Financial Data Organization
- Structuring Financial Data
- Excel Tables
- Data Validation
- Standardization and Consistency
Module 3 – Essential Financial Formulas
- SUM, AVERAGE, COUNT
- IF and Nested IF
- Percentage Calculations
- Financial Logic in Excel
Module 4 – Financial Functions in Excel
- PMT Function
- FV and PV
- NPV and IRR
- Loan and Investment Calculations
Module 5 – Budgeting and Cash Flow
- Budget Structure
- Cash Flow Control
- Monthly and Annual Analysis
- Forecast vs Actual
Module 6 – Revenue and Expense Analysis
- Expense Classification
- Cost Control
- Profit Analysis
- Margin Calculations
Module 7 – Financial Indicators
- Liquidity Indicators
- Profitability Indicators
- Performance Ratios
- Financial KPIs
Module 8 – Financial Charts and Visualization
- Financial Charts
- Trend Analysis
- Comparative Analysis
- Visual Financial Reports
Module 9 – Automation and Financial Controls
- Dynamic Ranges
- Error Prevention
- Spreadsheet Protection
- Automation Best Practices
Module 10 – Financial Excel Project
- Financial Scenario Definition
- Spreadsheet Development
- Analysis and Review
- Final Financial Report