An applied Excel book showing how to build a comprehensive cash flow model.
Mastering Cash Flow and Valuation Modelling is a practical book for developing a flexible cash flow and valuation model rather than an Excel text book or a corporate finance manual. It seeks to bridge the gap between the two and describes a practical approach to developing an efficient financial model from a new workbook. You can work through each of the chapters and build the model yourself in stages.
The disk provides a series of skeleton models with basic data on the disk for you to work on, modify and develop. Financial modelling is a practical subject and you need to work through each of the the stages and overcome problems to understand the complete process of building a model. On completion you will be able to build robust models with improved accuracy and analysis using a greater range of Excel functionality.
This is an essential book for analysts and practitioners who build and use project and valuation models to help them increase the speed of model development and improve construction, analysis and reporting,