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Overview
Course Outline
Schedule & Fees
Methodology
This course uses hands-on applications of financial modeling in Excel in addition to demonstrating theoretical core topics the course also features real-life case studies and presentations by participants.
Course Objectives
By the end of the course, participants will be able to:
Prepare effective financial models utilizing powerful Excel functions
Use core financial modeling techniques
Forecast investments and calculate valuations of projects and companies in an effective manner
Develop comprehensive financial models to support investments decisions
Recognize special modeling and valuation considerations and best practices
Target Audience
Corporate finance professionals, investment professionals, CFOs, financial controllers, finance managers, financial analysts, corporate bankers, and business development analysts.
Target Competencies
Using advanced Excel
Performing capital budgeting analysis
Forecasting cash flow
Calculating cost of capital
Practicing financial modeling
Understanding scenario analysis
Calculating free cash flow
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