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This Excel modelling training course is designed as a first program for people who would like an opportunity to practise and improve their ability to model cash flows in Excel.

The course is conducted in a work shop format, with the emphasis on “learning by doing”. During the program delegates work as a team to create a cash flow model from scratch.

Building a financial model – course day 1 of 3

Course delegates start their Excel modelling by building up financial accounts in pre-set “stages”. They save their work in clear steps as they go. At the end of the course they have a record of their own work (each completed stage of their Excel model) plus refresher notes supplied by the lecturer.

Course day 2

Course delegates complete their model. Then they start to look at how to, for example, use the financial model to analyse a new and revised deal structure:

  • Completing a financial model
  • Getting to cash flow
  • Modelling a new deal

Course day 3

  • Determining outputs
  • scenario analysis
  • Excel modelling help
  • Excel modelling best practice
  • Working with a financial model
  • Topics in more advanced financial modelling
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Financial Training Associates (FTA) Ltd has provided highly successful financial training programmes for ten years, for both the corporate and the public sector. FTA trains internationally and within the UK, and course subject areas include: Excel financial modelling; corporate finance; company valuation; buyouts and mergers.

 

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