Advanced Financial Modelling and Corporate Valuation
About This Course
At the end of the 4-day course, participants will be able to:
• Build a full 3-statement model from scratch, integrated with dynamic Cash & Revolver balancing
• Process cork-screw schedules including multiple debt, sweep, and amortisation
• Incorporate Debt Capacity models for sculpting and future derivation of cash available for debt servicing
• Refresh knowledge of Enterprise value, Capital Asset Pricing Model (CAPM) and Equity valuation
• Understand derived equity premiums and discounts obtained from Discounted Cash Flow (DCF) & Comparable valuation modules
• Separate data, logic and output parameters, build and present dashboard for dynamic output display
What You'll Learn
Entry Requirements
Participants should have foundational knowledge of financial modelling, working knowledge of accounting and financial statements, and proficient in the use of Microsoft Excel (mathematical operations).