Financial Modeling for Investment Analysis
السعر: 5,500 جنيه مصري

    تفاصيل الدورة

    This program offers the opportunity to learn how to develop a unique blend of practical skills in Financial Modeling using Excel to improve your financial projections, analysis, and financial reporting skills in addition to learning how to build a risk analysis model and modeling for business valuations along with relevant simulation and sensitivity analysis techniques.


    Who should attend?

    This hands-on course is designed for Bankers; Credit Officers; Investment Bankers; Business Valuation consultants; Financial and Risk Analysts; Security and Investment Analysts; Financial Advisors, Corporate Analysts and; Treasury Analysts; Finance Managers and Controllers; Strategy Directors and Managers; Financial Planning and Budgeting Managers; and Project Managers.


    Pre-requisites

    • Financial Background
    • Basic EXCEL Skills

    Program Outline

    Introduction to Financial Modelling

    EXCEL modelling - Basics

    Essential EXCEL Methods

    Building the Financial Statements; Income Statement (IS), Balance Sheet (BS) and Statement of Cash Flows (SCF)

    • Ratio analysis – IS, BS and SCF
    • Financial Projections – building up a viable model
    • Sensitivity and Scenario Analysis – How to develop?
    • Time Value of Money concepts
    • Discount rate – How to calculate? What to consider?
    • How to build financial models for fixed income products such as Treasury bills, Treasury bonds.)
    • Statistical Probability models (Monte Carlo) – what is there?
    • Valuation Models: Discounted Cash Flow (DCF) model & Dividends Discount Model (DDM)
    • Terminal (residual) value and application of multiples
    • What are the most common multiples to rely on? 
      تحديث بتاريخ 15 May, 2019

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