Introduction
Course Objective
- Link company’s historical financial statements to future projections
- Create assumptions about future business performance
- Estimate & prepare a financial forecast
- Valuing a business
- Use different scenarios & sensitivity analysis
- Evaluate transactions such as mergers and acquisitions
Learning Outcome
- Collating financial statements i.e.populate the income statement, balance sheet and cash flows for the past years from balance sheets in excel
- Building assumptions for future estimations
- Projecting future financial statements
- Calculate DCF and Relative valuations to arrive at fair price of the company.
- Basics of Financial Modelling using excel
- Create a basic financial model
- Work on a live case study regarding basic finance modelling used for basic estimation & also equity research
- Advanced Case study using M& A model
- Working with cash flow and valuation
- Consolidation of numbers