What will you in Financial Budgeting and Forecasting In Excel Complete Course
Understand the fundamentals of financial modeling for startups.
Learn how to build a comprehensive financial model using Excel.
Develop skills to forecast revenues, expenses, and cash flows.
Analyze financial statements to make informed business decisions.
Prepare financial models for investor presentations and funding rounds.
Program Overview
Module 1: Introduction to Financial Modeling ⏳ 30 minutes
Overview of financial modeling concepts.
Importance of financial models for startups.
Key components of a financial model.
Module 2: Building the Financial Model in Excel
⏳ 1 hour
Setting up the Excel workbook.
Creating revenue and expense forecasts.
Developing cash flow statements and balance sheets.
Module 3: Analyzing Financial Statements
⏳ 1 hour
Interpreting income statements, balance sheets, and cash flow statements.
Calculating key financial ratios.
Assessing financial health and performance.
Module 4: Scenario Analysis and Sensitivity Testing
⏳ 45 minutes
Conducting scenario analysis to evaluate different business outcomes.
Performing sensitivity analysis to understand the impact of variable changes.
Using Excel tools for scenario planning.
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Job Outlook
- Financial modeling is a valuable skill for entrepreneurs, startup founders, and financial analysts.
- Professionals with expertise in financial modeling can pursue roles like financial analyst, business consultant, or startup advisor.
- Many startups rely on financial models to present their business potential to investors and secure funding.
Specification: Financial Budgeting and Forecasting In Excel Complete Course
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