Corporate Training - Financial Modelling

We offer Corporate Training on Financial Modeling using EXCEL an essential skill required for Finance Professionals extensively used in Corporate Finance, Investment Banking, Equity Research, Credit Research, Project Appraisal, Mergers & Acquisitions, and Portfolio Management Sectors. 

Topics Covered

Financial Modelling using EXCEL

Foundations of Financial Modelling

Preparation of Cash Flow Statement

Understanding Financial Statement in-depth

Ratio Analysis

Forecasting Financial Statements

Modelling Elements of Balance Sheet, P&L Statement & Cash Flow Statement

Integration & Balancing of Financial Model

Sensitivity Analysis, Multiple Cases & Report Writing

Concepts of Equity Valuations Discounted Cash Flow Based Valuation Techniques

Relative & Residual Valuation Techniques

Understanding Macro economic variables impact on Future Financial Statements

Using Regression to model forecasted Financial Statements Impact of GDP, Inflation & other macro economic variables on Equity Market Computation & Interpretation of Cash Flow Ratios
Understanding Shares Outstanding Schedule 5-Year Financial Statement Projection Model Calculation of Cost of Equity & Cost of Capital Computation & Interpretation of Cash Flow Ratios Case Study with Questions

training can be customized as per requirement

  • After Training SUPPORT for 1 YEAR to the participants.
  • Support via Email/Phone/Chat/One on One session (with prior appointment).