Table of Contents
- An Introduction to Financial Modeling and Excel
- Steps for Building a Financial Model
- Formulas and Functions - Completing Modeling Tasks with a Single Formula
- The Referencing Framework in Excel
- An Introduction to Power Query
- Understanding Project and Building Assumptions
- Asset and Debt Schedules
- Preparing a Cash Flow Statement
- Ratio Analysis
- Valuation
- Model Testing for Reasonableness and Accuracy
- Case Study 1 – Building a Model to Extract a Balance Sheet and Profit and Loss from a Trial Balance
- Case Study 2 – Creating a Model for Capital Budgeting

