Predictive Finance Analytics and Validation Course
At a glance
- Duration
- 5 days
- Format
- Classroom
- Cities
- Jakarta, Doha, Abu Dhabi, Prague, Trabzon, Kuala Lumpur and more
- Next session
- 12 – 16 October 2026, Jakarta
- Average fee
- 5,800 €
Overview
Predictive Finance Analytics and Forecast Validation Training Course is a five-day professional course for FP&A professionals, financial analysts, management accountants, controllers, treasury analysts, and finance business partners who leave with a Finance Predictive Forecast Pack. Participants connect decision questions, finance drivers, time patterns, predictive methods, backtesting, error measures, uncertainty, scenarios, governance, monitoring, and executive communication. The course addresses forecasts that provide a single number without credible validation, ranges, assumptions, or response rules. Agile Leaders Training Center develops disciplined predictive analytics for finance.
Who Should Attend
- Financial planning functions responsible for budgets, rolling forecasts, scenarios, and management outlooks
- Financial analysis functions responsible for drivers, trends, predictive evidence, and recommendations
- Management accounting functions responsible for revenue, cost, margin, and performance forecasts
- Treasury functions responsible for liquidity, cash-flow, funding, and risk forecasts
- Controllership functions responsible for assumptions, reconciliation, governance, and review
- Finance business partnering functions responsible for translating forecasts into operating decisions
The course assumes participants can interpret historical financial data, basic statistics, budgets, forecasts, and spreadsheet outputs, and leaves out introductory accounting, advanced coding, platform administration, and external certification preparation.
Departments and Industries
The course supports departments and industries that forecast financial demand, resources, cash, performance, or risk.
- Corporate finance, FP&A, treasury, and controllership
- Retail sales, margin, inventory, and cash forecasting
- Manufacturing demand, volume, cost, and capacity forecasting
- Banking revenue, liquidity, credit, and portfolio forecasting
- Energy price, production, operating, and cash-flow forecasting
- Healthcare activity, revenue, cost, and capacity forecasting
Learning Objectives
By the end of this course, participants will be able to:
- Build forecast questions, horizons, targets, drivers, and baselines
- Analyze trend, seasonality, cycles, outliers, and structural change
- Compare time-series and driver-based predictive approaches
- Evaluate forecasts through time splits, backtesting, and error measures
- Build uncertainty ranges and decision scenarios
- Apply governance, monitoring, overrides, and forecast communication
Course Agenda
Day 1: Frame the Finance Forecast
- Finance Decision, Target, Horizon, and Granularity Canvas
- Forecast Object and Business Driver Map
- Historical Data Readiness and Time Index Check
- Naive, Seasonal, and Judgmental Baseline Models
- Forecast Assumption and Ownership Register
Day 2: Diagnose Time Patterns and Drivers
- Trend, Seasonality, Cycle, and Event Profile
- Missing Value, Outlier, and Structural Break Review
- Revenue, Cost, Margin, Cash, and Balance Driver Tree
- Lag, Lead, and Predictor Selection Matrix
- Correlation, Causation, and Leakage Checklist
Day 3: Build and Validate Predictive Forecasts
- Moving Average and Exponential Smoothing Models
- Excel FORECAST.ETS Model and Seasonality Settings
- Training, Validation, and Test Time Split
- Rolling-Origin Time-Series Cross-Validation
- MAE, RMSE, MASE, and SMAPE Error Scorecard
Day 4: Express Uncertainty and Govern Decisions
- Prediction Interval and Confidence Range Display
- Base, Upside, Downside, and Stress Scenario Table
- Forecast Bias, Drift, and Stability Monitor
- Judgmental Override and Challenge Log
- Forecast Narrative, Decision Trigger, and Response Plan
Day 5: Practice Predictive Finance
- Exercise: Define Targets, Horizons, Drivers, and Baselines
- Exercise: Diagnose Time Patterns and Data Risks
- Exercise: Validate Competing Forecast Models
- Exercise: Present Uncertainty and Scenario Decisions
- Capstone: Finance Predictive Forecast Pack
Practical Exercises
The course uses suggested activities based on finance forecasts in retail, manufacturing, banking, energy, and healthcare.
- Suggested activity: turn a planning question into forecast targets, horizons, granularity, business drivers, baselines, owners, and decision thresholds.
- Suggested activity: diagnose trends, seasonality, events, missing values, outliers, structural breaks, lags, and data leakage.
- Suggested activity: compare naive, smoothing, and driver-based forecasts using rolling-origin validation and multiple error measures.
- Suggested activity: present ranges and scenarios, document overrides, define monitoring triggers, and link forecast evidence to actions.
FAQs
Who suits predictive analytics for finance, and what does it assume?
FP&A professionals, analysts, management accountants, controllers, treasury teams, and finance business partners suit the course; it assumes they can interpret historical finance data, basic statistics, budgets, forecasts, and spreadsheet outputs.
How does financial forecasting analytics differ from financial modelling?
Financial forecasting analytics estimates future measures from historical patterns, drivers, validation, and uncertainty, while financial modelling structures linked assumptions, statements, cash flows, financing, valuation, and scenarios for broader decision analysis.
How should time series forecasting for finance be validated?
Time series forecasting for finance should preserve chronological order, withhold future periods, use rolling-origin evaluation when suitable, compare against simple baselines, assess multiple error measures, inspect bias and stability, and test performance at the decision horizon.
Which measures show finance forecast accuracy?
Finance forecast accuracy can use MAE, RMSE, MASE, SMAPE, bias, interval coverage, and directional or threshold performance, selected according to scale, zeros, outliers, comparability, horizon, and the decision cost of errors.
How should predictive cash flow forecasting express uncertainty?
Predictive cash flow forecasting should provide ranges, scenarios, assumptions, driver sensitivities, timing risks, confidence or prediction intervals where appropriate, stress cases, liquidity thresholds, and response actions instead of presenting one precise estimate as certain.
Conclusion
Participants take back a Finance Predictive Forecast Pack containing a forecast canvas, driver map, data checks, baselines, time profiles, predictive models, validation record, error scorecard, uncertainty ranges, scenarios, override log, monitoring triggers, and executive narrative. It changes isolated point estimates into tested decision evidence. The pack keeps accuracy, uncertainty, ownership, and response actions visible.
credits: 5 credit per day
Course Mode: full-time
Provider: Agile Leaders Training Center
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Events for this Course
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Jakarta 12 – 16 October 2026
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Doha 18 – 22 October 2026
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Abu Dhabi 19 – 23 October 2026
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Prague 26 – 30 October 2026
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Trabzon 1 – 5 November 2026
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Kuala Lumpur 2 – 6 November 2026
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Amman 8 – 12 November 2026
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Manama 15 – 19 November 2026
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Kuwait 22 – 26 November 2026
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London 23 – 27 November 2026
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Dubai 30 November – 4 December 2026
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Tbilisi 7 – 11 December 2026
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Sharm El-Sheikh 14 – 18 December 2026
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Vienna 21 – 25 December 2026
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Istanbul 28 December 2026 – 1 January 2027
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Abu Dhabi 28 December 2026 – 1 January 2027
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Tokyo 4 – 8 January 2027
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Chicago 10 – 14 January 2027
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Rome 11 – 15 January 2027
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Milan 18 – 22 January 2027
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Singapore 25 – 29 January 2027
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Amsterdam 1 – 5 February 2027
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Dubai 8 – 12 February 2027
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Seoul 8 – 12 February 2027
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Baku 15 – 19 February 2027
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Abu Dhabi 15 – 19 February 2027
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London 22 – 26 February 2027
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Porto 22 – 26 February 2027
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Manama 28 February – 4 March 2027
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Nairobi 7 – 11 March 2027
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Muscat 14 – 18 March 2027
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Paris 15 – 19 March 2027
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Cairo 22 – 26 March 2027
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Vienna 29 March – 2 April 2027
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Lisbon 29 March – 2 April 2027
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Cape town 4 – 8 April 2027
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Zoom 5 – 9 April 2027
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Madrid 12 – 16 April 2027
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Athens 12 – 16 April 2027
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Barcelona 19 – 23 April 2027
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Geneva 25 – 29 April 2027
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Abu Dhabi 26 – 30 April 2027
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Zanzibar 2 – 6 May 2027
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Frankfurt 3 – 7 May 2027
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Marbella 9 – 13 May 2027
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Dubai 10 – 14 May 2027
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Tashkent 16 – 20 May 2027
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Cairo 17 – 21 May 2027
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Istanbul 24 – 28 May 2027
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Montreux 24 – 28 May 2027
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London 31 May – 4 June 2027
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Toronto 6 – 10 June 2027
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Rome 7 – 11 June 2027
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Milan 14 – 18 June 2027
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Barcelona 21 – 25 June 2027
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Bali 27 June – 1 July 2027
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Amsterdam 5 – 9 July 2027
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Kuala Lumpur 19 – 23 July 2027
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Nice 19 – 23 July 2027
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Accra 25 – 29 July 2027
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Bangkok 1 – 5 August 2027
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Berlin 2 – 6 August 2027
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Paris 16 – 20 August 2027
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Langkawi 22 – 26 August 2027
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Phuket 29 August – 2 September 2027
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San Diego 30 August – 3 September 2027
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Casablanca 6 – 10 September 2027
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Madrid 13 – 17 September 2027
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Munich 13 – 17 September 2027
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London 20 – 24 September 2027
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Johannesburg 26 – 30 September 2027
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Dubai 27 September – 1 October 2027
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New York 4 – 8 October 2027
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Amsterdam 11 – 15 October 2027
| Image | Location | Dates | Duration | Mode | Price | Actions |
|---|---|---|---|---|---|---|
|
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Geneva |
Week 16, 2027 25 – 29 April 2027 |
5 Days | Onsite | €6,200 | |
|
|
Abu Dhabi |
Week 17, 2027 26 – 30 April 2027 |
5 Days | Onsite | €4,700 | |
|
|
Zanzibar |
Week 17, 2027 2 – 6 May 2027 |
5 Days | Onsite | €5,500 | |
|
|
Frankfurt |
Week 18, 2027 3 – 7 May 2027 |
5 Days | Onsite | €5,700 | |
|
|
Marbella |
Week 18, 2027 9 – 13 May 2027 |
5 Days | Onsite | €5,700 | |
|
|
Dubai |
Week 19, 2027 10 – 14 May 2027 |
5 Days | Onsite | €4,500 | |
|
|
Tashkent |
Week 19, 2027 16 – 20 May 2027 |
5 Days | Onsite | €4,500 | |
|
|
Cairo |
Week 20, 2027 17 – 21 May 2027 |
5 Days | Onsite | €4,100 | |
|
|
Istanbul |
Week 21, 2027 24 – 28 May 2027 |
5 Days | Onsite | €4,500 | |
|
|
Montreux |
Week 21, 2027 24 – 28 May 2027 |
5 Days | Onsite | €7,500 | |
|
|
London |
Week 22, 2027 31 May – 4 June 2027 |
5 Days | Onsite | €5,700 | |
|
|
Toronto |
Week 22, 2027 6 – 10 June 2027 |
5 Days | Onsite | €12,000 | |
|
|
Rome |
Week 23, 2027 7 – 11 June 2027 |
5 Days | Onsite | €5,700 | |
|
|
Milan |
Week 24, 2027 14 – 18 June 2027 |
5 Days | Onsite | €5,700 | |
|
|
Barcelona |
Week 25, 2027 21 – 25 June 2027 |
5 Days | Onsite | €5,700 | |
|
|
Bali |
Week 25, 2027 27 June – 1 July 2027 |
5 Days | Onsite | €5,700 | |
|
|
Amsterdam |
Week 27, 2027 5 – 9 July 2027 |
5 Days | Onsite | €5,700 | |
|
|
Kuala Lumpur |
Week 29, 2027 19 – 23 July 2027 |
5 Days | Onsite | €5,200 | |
|
|
Nice |
Week 29, 2027 19 – 23 July 2027 |
5 Days | Onsite | €5,700 | |
|
|
Accra |
Week 29, 2027 25 – 29 July 2027 |
5 Days | Onsite | €4,100 |
Frequently asked questions
What does this course cover?
OverviewPredictive Finance Analytics and Forecast Validation Training Course is a five-day professional course for FP&A professionals, financial analysts, management accountants, controllers, treasury analysts, and finance business partners who leave with a Finance Predictive Forecast Pack. Participants connect decision questions, finance drivers, time pa…
Are training dates available?
Yes. Available dates and destinations are listed in the course dates section on this page.
How can I register?
Choose an available date on this page and complete the registration form, or send a programme enquiry.
Can I download the course brochure?
Yes. Use the brochure download link provided on this page.
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