View a 10% preview of these notes below.
Comprehensive notes, include tables, diagrams and model answers. I have a history in tutoring and note writing and have focused on the most important aspects to pass the CPA Financial Risk Management exam.
About the author:
I am a graduate from the University of Adelaide, with Bachelors in Accounting and Corporate Finance. I have work experience in Australia, China and Hong Kong with a comprehensive understanding of corporate finance and financial markets. I am a CFA candidate and CPA Associate Member. I am in particular a specialist in: Investment research and analysis, Portfolio Management, Investment decision-making and strategy, Investment performance and risk evaluation, Financial Statement analysis, Financial innovation, products and markets and Cross cultural adoption and collaboration.
Module 1 INTRODUCTION TO STRATEGIC MANAGEMENT ACCOUNTING
Module 2 MANAGEMENT OF LIQUIDITY, DEBT AND EQUITY
Module 3: Investment evaluation and capital structure
Module 4 DERIVATIVES
Module 5 Interest Rate Risk Management
Module 6 FOREIGN EXCHANGE AND COMMODITY RISK MANAGEMENT
Module 7 Accounting for derivatives and hedge relationships
Looking for CPA notes for another subject?
You must log in to submit a review.